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The role is accountable for driving financial planning, analysis, and forecasting of Business Unit performance, ensuring management receives accurate MIS, actionable insights, and strategic recommendations. The position is also responsible for the review and evaluation of financial and business proposals, providing critical analysis to support sound decision-making and strengthen the existing team.
In parallel, the role will have dotted-line reporting to the Group Treasury & Payables Manager, supporting liquidity planning, cash flow management, and routine banking operations, thereby ensuring effective coordination between the FP&A and Treasury functions.