Responsible for formulating financial policy and plans and ensures
maintenance of corporate liquidity and financial stability. Oversees activities
related to managing the company’s funds, investments and relationships with
financial institutions and regulators related to treasury matters. Directs
activities associated with the security and investment of the organization's
financial assets and funds. Ensures that financial transactions,
policies, and procedures meet the organization's short- and long-term
objectives, and regulatory requirements. Responsible for directing the
company’s credit and risk management (excluding insurance) functions. Key
success factors include relevant experience, strong analytics, and the delivery
of insightful analysis.
Responsibilities