Roles and Responsibilities
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Develop and implement financial strategies to drive business growth and profitability.
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Manage budgets, forecasts, and financial reporting to ensure accurate financial planning.
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Oversee fund management, including cash flow optimization and risk mitigation.
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Collaborate with cross-functional teams to identify areas for cost reduction and process improvement.
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Ensure compliance with regulatory requirements through effective audit facilitation.
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Ensure all accounting activities and internal audits comply with financial regulations
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Forecasting monthly, quarterly and annual results
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Supervise the team
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In-depth understanding of cash flow management, bank reconciliation and book-keeping
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Data Analysis and Forecasting
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Conduct profit and cost analysis
