Lead the preparation of monthly, quarterly, and annual corporate reports, including Board papers, EXCO reports, management dashboards, and development updates.
Provide high-level analysis and insights on company performance, including profitability, cash flow, project delivery, and return on investment.
Ensure alignment of reports with the company's strategic objectives and project development cycle.
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Prepare and develop integrated financial models (including cash flow, funding, valuation, and scenario analysis) to support investment decisions, funding strategies, and corporate finance transactions.
Coordinate cash flow projections and analysis with project teams to evaluate funding proposals and liquidity requirements.
Perform complex business analysis, evaluation and strategic planning in line with MAHB’s objectives.
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