Ivosights is a Technology company which aim to leverage the implementation of IT as customer engagement platform. With the development of Ripple10 and Sociomile as our product champion, Ivosights has been able to deliver a product for its client to understand, engage, and delight its customer. As we aim to boost our growth target, we are looking for more highly-motivated and result-driven talent to join our team and grow together.
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**Job Summary**:
The Senior Manager of Strategic Corporate Finance will hold a pivotal position in analyzing and controlling the cost structure of the company's projects. This role is instrumental in managing the company's overall costs, effectiveness, tax management, and cash flow. Working closely with the commercial team, this position ensures that each project achieves minimum profitability and avoids hidden costs that could reduce profitability. The Senior Manager will also be responsible for the strategic management of the company's overall cost structure, cash flow, profit, and loss (P/L), and taxation. This position reports directly to the Chief Financial Officer (CFO).
**Key Responsibilities**:
- Financial Analysis & Cost Control: Conduct in-depth analyses of the company's cost structure. Identify areas for cost optimization and control project costs to ensure they align with financial targets.
- Profitability Management: Collaborate with the commercial team to ensure all projects meet or exceed minimum profitability margins. Implement strategies to mitigate hidden costs and other financial risks.
- Strategic Financial Planning: Develop and execute strategies for cost structure management, cash flow optimization, and effective P/L management. Provide strategic insights to support long-term financial goals.
- Tax Management: Oversee the company's tax planning and compliance to optimize tax positions and ensure adherence to relevant laws and regulations.
- Cash Flow Management: Manage and forecast cash flows to maintain liquidity and support operational and investment activities. Implement measures to improve cash flow efficiency.
- Cross-functional Collaboration: Serve as the financial counterpart to the commercial team, providing financial insights and analysis to support decision-making and project profitability.
- Reporting & Compliance: Ensure accurate financial reporting and compliance with all financial regulations and standards. Report directly to the CFO with regular updates on financial health, risks, and opportunities.
**Experience**: Minimum of 8 years of experience in corporate finance, with a proven track record in financial planning and analysis, cost control, and strategic financial management within a technology or related B2B sector.
- Education: Bachelor's degree in finance, Accounting, Economics, or a related field. A Master's degree or professional certification (such as CPA or CFA) is preferred.
- Skills: Strong analytical and strategic thinking skills, with an ability to conduct detailed financial analysis and develop effective financial strategies. Excellent communication and collaboration skills to work effectively with the commercial team and senior management.
- Knowledge: Deep understanding of financial principles, tax laws, and regulations. Proficiency in financial modeling, forecasting, and the use of financial software.
- Attributes: High level of integrity and accountability, with a results-driven approach. Ability to navigate complex financial situations and provide clear, actionable insights.