Director of Finance | Scrabble
Posted on June 4, 2024
Job Description
Key Responsibilities
• Shape the overall corporate strategy as part of the core leadership team.
• Integrate finance into the decision-making process, and challenge key strategic decisions.
• Overall ownership of the corporate financial function and risk management function.
• Ensure the company’s books of accounts are accurate and updated.
• Manage the consolidation of the books of accounts.
• Ensure a timely and seamless statutory audit.
• Ensure that all tax filings globally are filed accurately and on time.
• Manage Transfer Pricing compliances for inter-company transactions.
• Ensure statutory compliance with applicable corporate laws.
• Liaison with professional accounting and tax firms.
• Cash flow planning and working capital management.
• Manage all investor relations and communications.
• Ownership of all banking relationships of the company.
• Lead the treasury function and manage the investment of surplus cash.
• Ensure all requisite controls and processes are set up and regularly monitored.
• Possess a good understanding of reporting requirements under IFRS and IndAS.
• Play an integral role in developing our annual operating plan and budget as well as continuously monitoring performance against the same.
• Create and refine best in class financial processes and controls, enhance system integrity and promote automation.
• Shape the overall corporate strategy as part of the core leadership team.
• Integrate finance into the decision-making process, and challenge key strategic decisions.
• Overall ownership of the corporate financial function and risk management function.
• Ensure the company’s books of accounts are accurate and updated.
• Manage the consolidation of the books of accounts.
• Ensure a timely and seamless statutory audit.
• Ensure that all tax filings globally are filed accurately and on time.
• Manage Transfer Pricing compliances for inter-company transactions.
• Ensure statutory compliance with applicable corporate laws.
• Liaison with professional accounting and tax firms.
• Cash flow planning and working capital management.
• Manage all investor relations and communications.
• Ownership of all banking relationships of the company.
• Lead the treasury function and manage the investment of surplus cash.
• Ensure all requisite controls and processes are set up and regularly monitored.
• Possess a good understanding of reporting requirements under IFRS and IndAS.
• Play an integral role in developing our annual operating plan and budget as well as continuously monitoring performance against the same.
• Create and refine best in class financial processes and controls, enhance system integrity and promote automation.
