Job Description
● Plan, direct, and control the organization's financial and budgeting activities according to legal frameworks.
● Provide short-term and long-term solutions to promote the strategic interests of the organization.
● Take charge of profitability analysis and budget/forecast planning and policy manual compliance.
● Maximize cash flow performance of the company business.
● Lead and maintain a finance team.
● Prepare balance sheets, profit and loss statements, and monthly and quarterly financial reports.
● Prepare monthly and annual management reports.
● Cooperate with internal and external auditors and tax consultants.
● Ensure compliance with accounting policies and regulatory requirements.
● Monitor the day-to-day financial operations within the company (payroll, invoicing, and other transactions).
● Manage timely payments including salaries, fees, taxes, insurance, etc.
● Establish and monitor adequate internal controls for all revenues and expenses and protection of assets.
● Support business units by identifying opportunities for process improvements with recommendations for implementation.
● Monitor the invoice and collection process for business units.