Financial Strategy & Performance Management
- Develop, implement, and oversee long-term financial strategies aligned with the Group’s overall business strategy.
- Establish financial KPI/OKR frameworks and conduct performance analysis across business units, products, and operations.
Financial Planning, Forecasting & Budgeting
- Lead annual financial planning, periodic forecasting, and scenario analysis.
- Manage budgets and cash flow to ensure efficient allocation and utilization of resources.
Capital & Cash Flow Management
- Optimize capital structure and cost of capital.
- Oversee liquidity, working capital, and financial risk management.
Control, Compliance & Risk Management
- Establish internal control systems and Enterprise Risk Management (ERM) frameworks.
- Ensure compliance with accounting standards, tax regulations, and applicable laws.
Accounting, Tax & Financial Reporting
- Organize and manage a centralized accounting system, ensuring accuracy, timeliness, and consistency across the Group.
- Take full responsibility for the quality of consolidated financial statements and management reports for the Board of Directors and Executive Committee.
- Act as the key liaison with external auditors, tax authorities, banks, and financial institutions.
Team Leadership & Finance Digital Transformation
- Build and develop high-performing finance and accounting teams.
- Lead digital transformation initiatives, standardizing financial systems and data.