Preparing monthly and quarterly reports for investors, assisting in Board Meeting preparations, and maintaining strong relationships with key stakeholders.
Creating and monitoring the Group budget, updating monthly actual performance against budget, and providing variance analysis.
Supporting strategic planning, financial forecasting, and business performance reviews.
Developing financial models and business cases to support investment decisions and strategic initiatives.
Managing capital structure, funding requirements, and financial risk assessments.
Providing insights and recommendations to senior management on financial performance and strategic matters.
Ensuring compliance with financial regulations, corporate governance, and internal policies.
Collaborating with cross-functional teams to support corporate projects and initiatives.
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