This role is responsible for developing and implementing comprehensive financial strategies, policies, and procedures to ensure the company’s financial stability and growth. The position oversees all financial operations, including budgeting, forecasting, cash flow management, and financial reporting. The role involves providing strategic financial advice to the executive team and other stakeholders, closely monitoring and analyzing financial performance, and implementing corrective actions when necessary. The role also ensures compliance with all financial regulations and reporting requirements, manages the completeness and storage of financial documents, and oversees the preparation of corporate tax reports.