Role Objective Analyze the company’s financial position and current projects, identify risks and opportunities, and design financing and investment structures that maximize profitability and enhance capital efficiency. Scope of Work & Responsibilities - Study and analyze the company’s current financial position. - Identify financial weaknesses and operational and financing risks. - Analyze existing and potential investment opportunities. - Evaluate new acquisitions from a financial and investment perspective .- Prepare and analyze financial models (Cash Flow, IRR, ROI, Sensitivity Analysis). - Propose suitable financing structures (equity, bank financing, partnerships). - Improve cash flow management and maximize profitability. - Provide strategic recommendations to senior management based on clear financial analysis - Support development and expansion decisions from a financial and investment perspective.
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