Develop and execute financial strategy, growth plans, and long-term sustainability with the CEO
Lead budgeting, forecasting, cash flow planning, and resource allocation across projects and business lines
Provide financial insights for expansion, partnerships, and business model development
Establish financial controls, accounting frameworks, treasury management, and liquidity optimization
Manage multi-currency operations, international vendor payments, and forex exposure
Oversee event-based financial processes including costing, pricing, vendor procurement, budget control, expense tracking, and post-event audits
Build and manage enterprise risk frameworks covering financial, procurement, legal, and operational risks
Ensure compliance with tax, statutory laws, regulatory agencies, and international financial requirements
Lead procurement governance, vendor due diligence, contract negotiations, and cost efficiency
Oversee capital raising, investor relations, valuations, business plans, and M&A initiatives
Implement financial ERP systems, automation tools, budgeting platforms, and reporting dashboards
Produce monthly, quarterly, and annual financial reports for executive leadership and the Board
Guide statutory audits and internal control reviews while monitoring key financial KPIs
Lead and mentor a high-performing finance team and strengthen organizational financial discipline
Manage cash flow, debt schedules, repayment plans, and liquidity to maintain operational stability
Conduct multi-year financial planning, scenario analysis, ROI evaluations, and investment assessments