Develop and implement financial plans and strategies aligned with company goals. Manage budgeting, forecasting, and variance analysis. Prepare accurate financial reports like profit & loss statements, balance sheets, and cash flow statements. Oversee cash flow management, accounts payable/receivable, and liquidity. Identify and manage financial risks and ensure compliance with tax laws and regulations. Provide financial advice and investment strategies to senior management. Monitor financial performance and identify cost-saving opportunities. Lead and manage the finance team, coordinating with other departments. Maintain relationships with auditors, bankers, and investors. Qualifications and Skills: Typically, a graduate/postgraduate degree in Finance, Accounting, or related fields. Strong knowledge of financial reporting standards. Proficiency in financial software and tools. Excellent financial analysis, budgeting, and forecasting skills. Strong leadership and communication skills. Ability to interpret complex financial data for informed decision-making. Risk management and compliance expertise. Strategic thinking and problem-solving abilities. Negotiation and stakeholder management skills