Job Description
- Analyze the financial details of past, present, and expected operations to identify development opportunities
- Advise management on short-term and long-term financial objectives, policies, and actions
- Develop internal control policies, guidelines, and procedures for activities such as budget administration, cash and credit management, and accounting
- Prepare or direct preparation of financial statements, business activity reports, financial position forecasts, annual budgets, or reports required by regulatory agencies and more
- Budget control in company, department and project levels to manage and control company financial risks and issues
- Provide direction and assistance to other organizational units regarding accounting and budgeting policies and procedures and efficient control and utilization of financial resources
- Assign, direct, monitor and evaluate staff work
- Monitor financial activities and details, such as cash flow and reserve levels, to ensure that all legal and regulatory requirements are met
- Manage daily financial tasks
- Perform tax planning work
- Prepare financial statements and reports for payments, taxes, VAT, Bank, Prepare and Review
- Reporting to: CEO