Leadership role with a great visibility with the leadership Great organisation culture and values About Our Client
Our client is a leading RE platform with a huge portfolio of operational and upcoming assets.
Job Description
Financial Strategy & Planning: Prepare and present annual budgets and forecasts to Senior Management; align financial plans with business strategy. Financial Reporting: Deliver timely, accurate, and insight-driven monthly, quarterly, and annual reports. Shareholder Interface: Manage relations with Corporate Finance team on monthly/quarterly performance and outlook/estimates. Financial Control & Governance: Automate workflows and strengthen internal controls to ensure accuracy and compliance. Treasury & Cash Flow: Oversee cash flow, debt servicing, and investment of surplus funds; ensure optimal liquidity Audit & Risk Management: Coordinate interna...