1. Develop and execute the Group's financial strategy and goals in alignment with the business objectives of the group companies. 2. Oversee financial planning, budgeting, forecasting, and variance analysis processes. 3. Ensure preparation and dissemination of accurate and timely financial reports, statements, and analysis for internal and external stakeholders. 4. Ensure compliance with financial regulations, accounting standards, and reporting requirements. 5. Assess and manage financial risks, implement risk mitigation strategies, and maintain effective internal controls. 6. Enhance financial operations, processes, and systems for increased efficiency and accuracy. 7. Optimize cash flow management, capital allocation, and capital structure decisions. 8. Manage relationships with banks, lenders, and investors to secure funding and favorable terms. 9. Engage with auditors, tax advisors, and regulatory bodies to address financial-related matters.