Oversee and manage the companys financial operations, including treasury, billing and collections, and general accounting. Ensure accurate financial reporting, effective cash flow management, and compliance with regulatory standards. Provide strategic financial insights to support business decisions and optimize financial performance.
Key Responsibilities
- Lead treasury functions including cash flow planning and fund management
- Oversee billing and collection processes to ensure timely receivables
- Manage general accounting operations, month-end/year-end closing, and financial reporting
- Ensure compliance with financial policies, tax regulations, and audit requirements
- Support budgeting, forecasting, and financial planning activities
- Coordinate with external auditors and financial institutions
Qualifications
- Bachelors degree in Accountancy, Finance, or related field
- CPA or Non-CPA are encouraged to apply.
- Minimum of 7 years of progressive experience in finance, with solid background in treasury, billing and collection, and general accounting.
- Strong leadership and analytical skills.
- Proficient in financial systems and MS Excel.
- Excellent communication and stakeholder management abilities.