Chief Financial Officer
London Professional Training Centre
Accounting, Auditing & Finance
Job Summary
A Chief Financial Officer (CFO) is a key executive responsible for managing the financial aspects of a company. The CFO plays a crucial role in strategic decision-making, financial planning, and ensuring the overall financial health of the organization.
- Minimum Qualification : Degree
- Experience Level : Senior level
- Experience Length : 5 years
- Working Hours : Full Time
Job Description/Requirements
Responsibilities:
- Develop and implement the company's financial strategy in alignment with overall business objectives.
- Provide financial insights and recommendations to the CEO and the board of directors.
- Evaluate and advise on the financial impact of strategic decisions and new business ventures.
- Ensure cash flow is appropriate for the organization’s operations
- Drive the company’s financial planning
- Oversee the budgeting and forecasting processes to ensure accurate financial planning.
- Conduct financial analysis to identify trends, risks, and opportunities.
- Monitor key performance indicators (KPIs) and financial metrics.
- Ensure timely and accurate financial reporting to internal and external stakeholders.
- Prepare financial statements, including income statements, balance sheets, and cash flow statements.
- Comply with regulatory requirements and reporting standards.
- Identify and assess financial risks, and develop strategies to mitigate them.
- Implement and maintain internal controls to safeguard company assets.
- Stay informed about economic and industry trends that may impact the company.
- Perform risk management by analyzing the organization’s liabilities and investment
- Manage the company's capital structure and financing activities.
- Evaluate investment opportunities and make recommendations for capital allocation.
- Optimize working capital and cash flow.
- Oversee accounting and financial operations, including accounts payable, accounts receivable, and payroll.
- Ensure compliance with accounting principles and standards.
- Collaborate with the finance team to streamline processes and improve efficiency
- Communicate with investors and analysts regarding financial performance and strategy.
- Participate in earnings calls, investor presentations, and other investor-related activities.
- Decide on investment strategies by considering cash and liquidity risks
- Manage the company's liquidity and cash position.
- Develop and implement strategies for cash and investment management.
- Control and evaluate the organization’s fundraising plans and capital structure
- Oversee tax planning to optimize the company's tax position.
- Ensure compliance with tax regulations and reporting requirements.
- Lead and mentor the finance team, fostering a high-performance culture.
- Manage a team of financial controllers and financial analysts.
- Collaborate with other executives and department heads to achieve overall organizational goals.
Requirements:
- At least 5+ years of experience is required
- ICAN is required
- BSc./MSc./MBA in any course of study.
- Advance knowledge in the use of Microsoft Excel
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