Planning & Forecasting: Lead budgeting and forecasts (FTE, FTC, opex), provide variance insights, and support strategic initiatives with financial modeling.
Financial Operations & Reporting: Manage end-to-end finance (close, accruals, balance sheet, assets, payroll, treasury, claims) and ensure accurate, timely reporting with strong P&L and control governance.
Transfer Pricing & Billing: Oversee recharge frameworks, ensuring accuracy, compliance, and transparency; partner with tax and finance on audit-ready structures.
Cash & Treasury: Manage cashflow, liquidity, funding, and banking operations in coordination with global treasury.