Skills:
Financial Analysis, Risk Management, Corporate Finance, Budgeting and Forecasting, Regulatory Compliance, Mergers and Acquisitions, Strategic Planning, Cash Flow Management,
Hello, We're Looking For Person Who can head the F&A Department for a Travel Software Company
Qualifications And Skills
- Proven expertise in corporate finance with a deep understanding of financial environments and processes
- In-depth experience with mergers and acquisitions and the ability to navigate complex financial transactions
- Strategic planning abilities to develop and execute long-term business goals
- Comprehensive skills in financial analysis and interpreting financial data to drive decision-making.
- Experience in risk management and implementing measures to mitigate financial risks.
- Ability to manage budgeting and forecasting processes to plan and control finances effectively.
- Thorough understanding of regulatory compliance to ensure all financial standards are met.
- Proficiency in cash flow management, ensuring optimal liquidity and financial health of the company.
Roles And Responsibilities
- Develop and implement financial strategies and policies to drive the overall financial health of Company
- Lead and manage financial planning, budgeting, forecasting, and reporting processes.
- Oversee all financial operations, ensuring compliance with statutory laws and regulations.
- Conduct risk management and implement risk minimization strategies.
- Steer mergers and acquisitions to align with business objectives and enhance value.
- Collaborate with executive management to develop and execute strategic plans and initiatives.
- Monitor and manage cash flow, financial performance, and investment strategies.
- Provide expert financial advice and insights to support strategic decision-making.