Job description:
1 Be an integral part of business strategy development and implementation; point of view development and testing;
2 Be the financial steward of the business, ensure the tax and risk positions are optimized in a manner to create the highest NPV
3 Develop meaningful measures that are aligned with business vision are set up for assessing / tracking business strategies, bets.
4 Support / Improve business team’s ability to identify, quantify and manage risk in daily business activities. Be responsible for effective risk management for the sub-region.
5 Ensure risks are assessed and managed with good economic sense and at a level which are acceptable to the business (including credit risks and capital at risk)
6 Ensure accurate financial information and reliable financial systems and tools are available to drive for business decisions.
7 Ensure regulatory compliance is achieved, internal control procedure is reviewed, gaps are closed in a timely manner for the business
Requirement:
1 Bachelor degree in finance & accounting with minimum 10 years working experience (MBA will be a plus, but not mandatory)
2 Strong accounting, financial analysis and planning/forecasting skills.
3 Excellent project management, process improvement skills, and the passion and ability to drive changes
4 Good critical thinking skills
5 Strong management skills, excellent interpersonal, communication skills and ability to work effectively across organizations and cross culturally
6 Proficient in Microsoft applications – Excel, word, outlook and power point