Overview
Job Description:
– Partner closely with the Chairman and Board to develop and execute financial strategies that align with the Group’s long-term vision and sustainable growth objectives.
– Lead financial planning and analysis for all entities, optimizing resource allocation and financial performance to support growth.
– Structure entities to enhance stability and operational efficiency, conducting commercial, financial, and tax feasibility analyses to align with growth goals.
– Ensure accurate financial reporting and cash flow management; prepare projections and strategies to maintain liquidity and secure funding.
– Oversee M&A activities, conducting due diligence, deal structuring, and financial modeling to support strategic investments.
– Drive IPO readiness, collaborating with investment banks, underwriters, and advisors on financing, share pricing, and investor materials.
– Oversee financial reporting, ensuring compliance with statutory requirements and regulatory standards across all entities.
– Implement rigorous financial controls, optimize tax planning, and ensure compliance with local and international tax regulations.
– Manage governance frameworks, coordinate with valuation consultants and regulatory advisors, and oversee corporate secretarial functions.
– Maintain investor relations, fostering transparent communication and aligning financial strategy with investor expectations.