Identify control weaknesses, process inefficiencies, and risks; propose and implement appropriate mitigation strategies.
Ensure compliance with financial regulations, corporate governance standards, and legal obligations in all financial activities.
Prepare and submit comprehensive work reports.
Oversee corporate tax strategy, planning, and compliance to optimize the company’s tax position while ensuring full regulatory adherence.
Provide financial due diligence and advisory support for corporate structuring, acquisitions, divestitures, and partnerships.
Perform other tasks as assigned by the Manager.
Provide financial information and support to other departments in decision- making
Act as a strategic finance partner to business units, delivering data- driven insights to support commercial decisions and long- term growth.
Design, implement, and maintain a comprehensive internal control framework across financial and operational processes.
Conduct ROI analysis, scenario modeling, and capital allocation assessments to support prioritization of strategic initiatives.
Monitor changes in tax legislation and evaluate the impact on the company’s operations and financial results.
Analyze actual performance against budgets and forecasts, identify key variances and business drivers, and recommend corrective actions.
Lead internal audits to evaluate financial accuracy, compliance with regulations, and the effectiveness of internal controls.
Liaise with tax authorities, external consultants, and auditors to resolve tax matters and manage audits effectively.
Ensure timely, accurate, and insightful financial reporting to executive leadership and stakeholders to facilitate transparency and accountability.
Support executive leadership with risk assessments and financial input in strategic negotiations and business reviews.
Collaborate with cross- functional teams (e.g., commercial, operations, strategy) to drive performance and optimize business outcomes.
Provide advisory support on complex tax issues, including transfer pricing, cross- border transactions, and tax- efficient structuring.
Lead and oversee the company’s budgeting, forecasting, and long- term financial planning cycles.
Develop and update internal policies and procedures in accordance with regulatory standards and best practices.
Evaluate investment proposals, business cases, and M&A opportunities to ensure alignment with corporate financial strategy and value creation.
Develop and maintain financial models, executive dashboards, and performance scorecards to support strategic planning and decision- making.
Work closely with legal counsel to review commercial contracts, strategic agreements, and M&A transactions from a financial and risk perspective.