Steering the company’s financial performance and safeguarding its long-term stability
Overseeing all financial, profitability, administrative, and financial risk-management operations of the organization
Coordinating purchasing activities and managing the outsourced HR function to ensure seamless and efficient support across the business
Acting as the primary point of contact with regulators, local auditors, and banking authorities for directives, reporting, and ad hoc queries
Actively participating in Board meetings and the decision‑making process
Requirements
At least 5 years of relevant work experience
Strong skills in effective financial management and analysis
Experience in treasury, funding, and risk management (preferably within a regulated entity)
Demonstrated ability to build strong leadership
University degree, preferably in finance or accounting
Benefits
Active participation in formulating the company’s strategy and supporting tactical initiatives
Development of financial and tax strategies
Management of capital, risk, and budgeting processes
Oversight of accounting, investor relations, tax, and treasury functions
Monitoring of cash balances and preparation of cash flow forecasts
Liquidity and refinancing risk management
Statutory reporting
Ongoing co-development and monitoring of management control systems, internal controls, and compliance measures designed to preserve company assets and ensure accurate financial reporting to stakeholders