DIRECTLY REPORTS TO:
Chief Executive Officer
MAIN AREA OF RESPONSIBILITY:
The primary responsibility of the Chief Finance Officer is to lead the overall strategic direction of the company in all financial activities. The CFO is charged with Investor Relationship Management which shall include ensuring compliances to the due diligence of our investors. He or she will also be responsible for making sure that the company's finance function is organized and efficient as well as production of accurate financial reporting for management and external purposes.
TASKS:
Lead and guide the organization in the preparation of budgets - revenue, cost and expenses, and capital expenditures
Provide strategic direction and implementation on mergers and acquisitions of the company
Provide advise on Initial Public Offering (IPO) for the company
Work directly with and provide advice to the CEO and other members of the Executive Committee on major financial issues and company-wide strategies, and keep them apprise of all significant financial developments
Responsible for the financial forecasting and quarterly/monthly reporting of the financial statements of the Company (financial modeling and analysis)
Direct and coordinate treasury functions including bank and cash management
Plan, develop and implement tax strategies to reduce tax liabilities and optimize cash flows
Responsible for cost proposal development and business analysis to ensure profitability
Attend meetings of business partnerships and investors as necessary and review strategic financial decisions and banking solutions
Responsible to all audits including those in relation to top level communication with auditors
Maintain good relations with external groups such as investors, banks, auditors, lawyers, BIR, SEC, etc.
Ensure cost effective operations and projects, and control overheads and /or expenditures to conform with budgetary requirements
Review contracts with customers and suppliers and ensure compliance with laws and regulations and evaluate accounting implications, if any
Provide gap analysis and define short and long-term risk & opportunity to management to support the decision-making process
Establish, develop and implement appropriate accounting policies and internal controls
Continually review systems, procedures, and structure of departments to ensure optimal efficiency and make recommendations for improvement as appropriate
Monitor and report on the profitability with attention to Key Performance Indicators and makes appropriate recommendations for improvement
Perform other duties as assigned by the company
QUALIFICATIONS | COMPETENCIES:
Bachelor's degree holder in Accounting or Finance
Experience in IPO and/or Investment Banking
Worked in a Vice President Capacity
Eight (8) years or above work experience, at least five (5) years which are at managerial level
Proven experience and know how in Funding Rounds
Excellent Investor Relations Management
Background in Mergers and Acquisitions is a plus
Demonstrate business acumen and possess excellent interpersonal skills
High proficiency in English both written and verbal
High knowledge and experience in BCG or Product Portfolio mix
Self-starter with high levels of energy and commitment
Computer literacy in Microsoft Excel and accounting/reporting software
In-depth knowledge in International Financial Reporting Standards (IFRS) as well as in Philippine tax laws and regulations
Good personality, strong technical and negotiation skills, and superior problem solving and decision-making abilities
The ability to identify and share best practice with other and drive change and superior performance
Strong mentoring and training skills
With a proven track record of being results driven and being a high achiever
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Sprout Solutions
Chief Executive Officer
MAIN AREA OF RESPONSIBILITY:
The primary responsibility of the Chief Finance Officer is to lead the overall strategic direction of the company in all financial activities. The CFO is charged with Investor Relationship Management which shall include ensuring compliances to the due diligence of our investors. He or she will also be responsible for making sure that the company's finance function is organized and efficient as well as production of accurate financial reporting for management and external purposes.
TASKS:
Lead and guide the organization in the preparation of budgets - revenue, cost and expenses, and capital expenditures
Provide strategic direction and implementation on mergers and acquisitions of the company
Provide advise on Initial Public Offering (IPO) for the company
Work directly with and provide advice to the CEO and other members of the Executive Committee on major financial issues and company-wide strategies, and keep them apprise of all significant financial developments
Responsible for the financial forecasting and quarterly/monthly reporting of the financial statements of the Company (financial modeling and analysis)
Direct and coordinate treasury functions including bank and cash management
Plan, develop and implement tax strategies to reduce tax liabilities and optimize cash flows
Responsible for cost proposal development and business analysis to ensure profitability
Attend meetings of business partnerships and investors as necessary and review strategic financial decisions and banking solutions
Responsible to all audits including those in relation to top level communication with auditors
Maintain good relations with external groups such as investors, banks, auditors, lawyers, BIR, SEC, etc.
Ensure cost effective operations and projects, and control overheads and /or expenditures to conform with budgetary requirements
Review contracts with customers and suppliers and ensure compliance with laws and regulations and evaluate accounting implications, if any
Provide gap analysis and define short and long-term risk & opportunity to management to support the decision-making process
Establish, develop and implement appropriate accounting policies and internal controls
Continually review systems, procedures, and structure of departments to ensure optimal efficiency and make recommendations for improvement as appropriate
Monitor and report on the profitability with attention to Key Performance Indicators and makes appropriate recommendations for improvement
Perform other duties as assigned by the company
QUALIFICATIONS | COMPETENCIES:
Bachelor's degree holder in Accounting or Finance
Experience in IPO and/or Investment Banking
Worked in a Vice President Capacity
Eight (8) years or above work experience, at least five (5) years which are at managerial level
Proven experience and know how in Funding Rounds
Excellent Investor Relations Management
Background in Mergers and Acquisitions is a plus
Demonstrate business acumen and possess excellent interpersonal skills
High proficiency in English both written and verbal
High knowledge and experience in BCG or Product Portfolio mix
Self-starter with high levels of energy and commitment
Computer literacy in Microsoft Excel and accounting/reporting software
In-depth knowledge in International Financial Reporting Standards (IFRS) as well as in Philippine tax laws and regulations
Good personality, strong technical and negotiation skills, and superior problem solving and decision-making abilities
The ability to identify and share best practice with other and drive change and superior performance
Strong mentoring and training skills
With a proven track record of being results driven and being a high achiever
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Sprout Solutions
Other Info
Philippines
Permanent
Full-time
Permanent
Full-time
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Sprout Solutions
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