Job Description
Skills:
Financial Analysis, Risk Management, Corporate Finance, Budgeting and Forecasting, Regulatory Compliance, Mergers and Acquisitions, Strategic Planning, Cash Flow Management,
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.