General Manager -Finance and Analysis
Job Description
• Analyze the financial details of past, present, and expected operations in order to identify development opportunities and areas where improvement is needed.
• Draw up long term and short term Investment/financial plans for the business
• Responsible for preparation of monthly Financial Outlook forecast
• Project analysis, appraisal of investment and new business opportunities, structuring of project finance transactions and development of business plans and models.
• Analyze and make recommendations regarding investment that will help in achieving the company's financial goals.
• Define possible risks and potential returns for investments.
• Asses the company's financial/business needs and strategies.
• Review potential acquisition, joint ventures, merges, projections and sales.
• Assess business operations, financial structure & business capability/potential, market scenarios and company situation.
• Provide periodic reporting and analysis of sales, competition and key performance indicators.
• Manage entire budget process, planning and cash forecasting.
• Working in conjunction with CFO on capital raising – debt and equity
• Overall oversight on tax issues
Very strong analytical skills
Advanced Excel, Spreadsheet skills. Able to do macros, develop complex business models on Excel
Very strong PowerPoint and presentation skills
Excellent organizational and time management skills
Ability to work with minimal supervision
Attention to work under tight timelines
Attention to detail
Skills
• Excellent Communication skills (English): Spoken and written
• Moderate Analytical Skills
• Moderate IT skills
• Good Negotiation Skills
• Excellent Presentation skills