Company
An investment group developing projects across real estate, hospitality, branded living spaces, and next-generation accommodation concepts. With a diverse portfolio of investments and projects, the company is entering a new phase of growth and organizational transformation, with a strong pipeline of new developments and investment opportunities.
Position Summary
The Finance Manager will be responsible for managing the company’s financial planning, budgeting, cash flow, financing, investment analysis, reporting, and financial control processes. A key part of the role will be to strengthen and systematize existing financial processes while contributing to the development of a solid financial infrastructure for new investments and potential future group companies. Working closely with management, we are looking for someone who can go beyond managing day-to-day financial operations, interpret financial data, provide forward-looking insights, take ownership, and grow with the organization.
Key Responsibilities
- Manage annual budgeting, financial planning, and forecasting processes,
- Monitor budget performance and variances and provide regular management reporting,
- Manage short- and medium-term cash flow and liquidity requirements,
- Anticipate future cash requirements and develop appropriate actions and financing alternatives,
- Manage relationships with banks and oversee credit facilities, limits, guarantees, and financing processes,
- Evaluate alternatives for the effective management of surplus cash,
- Prepare financial feasibility, profitability, and return analyses for new investments and projects,
- Monitor project budgets, costs, cash requirements, and financial risks,
- Ensure accurate and timely accounting, tax, and statutory reporting processes,
- Manage relationships with financial advisors, tax consultants, banks, and other financial stakeholders,
- Prepare management reports and financial performance analyses,
- Contribute to the financial oversight of existing and potential future group companies,
- Develop financial controls, reporting standards, and approval mechanisms,
- Ensure effective use of ERP, accounting, budgeting, and reporting systems across financial processes,
- Reduce manual and person-dependent processes while strengthening financial data, process, and control discipline.
Key Qualifications
- Bachelor’s degree in Finance, Business Administration, Economics, Accounting, or a related field,
- 7-10 years of experience in finance,
- Preferably experienced in real estate, hospitality, construction, or project-based businesses
- Previous Big 4 experience is considered a strong advantage,
- Hands-on experience in budgeting, financial planning, cash flow management, and management reporting,
- Experience/strong knowledge of investment feasibility and project finance,
- Ability to manage relationships with banks and financial institutions,
- Good understanding of accounting, tax, and statutory requirements,
- Experience with ERP, accounting, budgeting, and reporting systems,
- Ability to contribute to the systemization and digitalization of financial processes,
- Strong analytical mindset with attention to detail and the ability to see the bigger picture,
- Proactive, solution-oriented, and willing to take ownership,
- Comfortable working in an evolving and dynamic organizational environment,
- Strong communication skills with the ability to present financial information clearly and effectively to management.