Company Overview
Role Purpose
Academic Stream
Work experience (in months)
Job Responsibility and key Decisions
Develop and oversee annual budgets, forecasts, and financial models for business operations.
Conduct variance analysis and provide actionable insights to senior management.
Prepare financial reports for stakeholders, ensuring accuracy and timeliness.
Support longterm financial planning, including growth strategies and capital allocation.
Drive initiatives to improve cost efficiency, optimize margins, and enhance profitability.
Analyse and support decisionmaking for mergers, acquisitions, and strategic investments.
Ensure compliance with pharmaceutical regulations and accounting standards e.g., IFRS, GAAP.
Oversee tax planning, filing, and compliance with statutory obligations.
Support audits internal and external by ensuring proper documentation and controls.
Monitor cash flow, working capital, and liquidity to meet business requirements.
Manage banking relationships, negotiate funding terms, and oversee debt financing.
Identify, evaluate, and mitigate financial risks related to operations and investments.
Implement internal controls to strengthen financial governance.
Supervise and mentor the finance team, fostering skill development and performance.
Ensure timely completion of deliverables and adherence to organizational objectives.
Collaborate with other departments to align financial goals with overall business strategy.
Enhance financial systems and tools to improve accuracy and efficiency in reporting.
Lead automation and digital transformation initiatives in financial processes.
Act as a key financial advisor to senior management and business units.
Present financial performance and strategic recommendations to internal and external stakeholders.