- Develop Corporate financial policies, procedures & workflow, Internal Control, Cost Control & Treasury planning.
- Drive the financial transformation plan for the whole group and built business plans, feasibility studies, financial analysis and recommendations.
- Formulate and apply KPI’s, benchmark.
- Drive strong business performance, developing financial & operational strategies, strategic and financial analysis, valuation, consolidation, Forecasting & budgeting, compliance and Audit, project management & infrastructure solutions.
- Evaluated current organization state in order to design and implement solutions enhancing revenue, reducing cost, and improving cash flow.
- Internal Re-engineering of financial structure, and financial strategies to acquire facilities.
- Building a robust budgeting control system to reduce costs and expenses.
- VAT implementation, IFRS conversion in all business units.
- Report risk issues to the audit committee and maintain relations with external auditors.
- Analyzing cash flow, cost controls and expenses to guide business leaders.
- Analyzing financial statements to pinpoint potential weak areas.
- Establishing/implementing short and long term dept. goals, objectives, policies and operating procedures.
- Ensuring the maintenance of appropriate internal controls and financial procedures.
- Financial management of foreign operations to include developing financial and budget policies and procedures.
- Ensuring the implementation of the international financial reporting standards (IFRS).
- Representing the company to financial partners, including financial institutions, investors, foundation executives, auditors, public officials etc.
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