- – Define and evolve business strategy, operating model, and governance approach.
- – Establish clarity around priorities, decision rights, and execution pathways.
- – Drive cross-functional alignment across Product, Operations, Sales, and Finance.
- Prepare detailed financial analyses for executive management team
- Support user groups with analyses and ad-hoc reports
- Coordinate with finance groups to standardize reporting processes
- – Prepare and validate accounting entries for daily cash movements.
- – Support daily treasury operations, including payment preparation and monitoring.
- – Assist in cash forecasting and maintain accurate documentation for transactions.