- Monitor the day-to-day financial operations within the company.
- Collecting, interpreting and reviewing financial information.
- Predicting future financial trends.
- Reporting to management and stakeholders, and providing advice on how the company and future business decisions might be impacted.
- Producing financial reports related to budgets as well as reviewing, monitoring and managing budgets.
- Developing long-term business plans based on these reports.
- Developing strategies that work to minimize financial risk.
- Review & approve payments.
- Manage all activities and reports regarding payments, taxes, VAT, bank accounts, pay role, insurance, social security, etc.
- Monitoring and control in order to preserve the asset of the company.
- Engage with contract management and project management.
Requirements
- At least 6 years of experience in relevant field.
- Result oriented and able to work under pressure to meet deadlines.
- Familiar with accounting and financial-related computer software.
- Fluent in English both in speaking and writing
- Knowing MS Office (Word, Outlook, Advanced Excel, etc.)
- Communicational Skills
- Strategical Thinking
- Analytical Thinking
- Team work