- Prepare annual budgets, forecasts, and long-term business plans.
- Conduct variance analysis and provide actionable insights to management.
- Monitor financial performance against budgets and key business metrics.
- Develop financial models for strategic initiatives and business decisions.
Corporate Finance & Fund Raising
- Support debt raising, refinancing, and working capital management activities.
- Coordinate with banks, financial institutions, rating agencies, and investors.
- Evaluate financing alternatives and optimize capital structure.
- Prepare financial information and presentations for lenders and stakeholders.
Business & Investment Analysis
- Conduct feasibility studies and financial due diligence for investments, acquisitions,
and recent business opportunities.
- Evaluate project viability using NPV, IRR, Payback Period, and other financial metrics.
- Support mergers, acquisitions, joint ventures, and strategic partnerships.
Treasury Management
- Monitor cash flow requirements and liquidity planning.
- Manage banking relationships and treasury operations.
- Optimize utilization of funds and ensure adequate working capital availability.
- Track debt obligations and covenant compliance.
Disclaimer: This job posting has been aggregated from external source. Role details, content, and availability are subject to change. Applicants are advised to confirm the latest information directly on the company website before applying.