Key Responsibilities
- Finance Operations
- Manage daily finance operations, including accounts payable, receivable, and cash management, in coordination with finance specialists.
- Supervise and review work performed by finance specialists to ensure accuracy, timeliness, and compliance with internal policies
- Ensure proper implementation of finance processes and controls across operational activities
- Corporate Finance
- Prepare and maintain financial models, budgets, forecasts, and cashflow projections
- Execute FP&A activities, including monthly management reporting and variance analysis
- Monitor and analyze financial performance, cost efficiency, and key financial metrics
- Develop valuation analysis and financial materials to support fundraising and strategic initiatives
- Accounting and Tax
- Coordinate and manage monthly closing and financial reporting with accountants
- Perform and review reconciliations to ensure accuracy and integrity of financial data
- Liaise directly with external auditors and support audit processes as required
- Supervise and review work performed by tax specialists
- Corporate Strategy
- Support strategic planning processes, OKR/KPI tracking, and performance monitoring
- Conduct business and financial analysis for new initiatives, partnerships, or internal projects
- Prepare presentation materials and analysis for management and internal reviews
- Legal
- Coordinate with legal specialists on contracts, corporate documentation, and compliance matters
- Support corporate governance processes, including preparation of board and shareholder materials
- Maintain organized corporate documents and corporate data room
- Investor Relations
- Prepare and maintain investor updates, board decks, and due diligence materials
- Maintain investor-related data and documentation
Qualifications & Experience
- Bachelor’s degree in Finance, Accounting, Economics, Business, or related fields
- 2–8 years of hands-on experience in corporate finance, accounting, audit, or consulting
- Solid understanding of financial statements, cashflow, and financial analysis
- Strong Excel / spreadsheet and presentation skills