Job Description
• Collating, preparing and interpreting reports, budgets, accounts, commentaries and financial statements
• Undertaking strategic analysis and assisting with strategic planning
• Undertaking research into pricing, competitors and factors affecting performance
• Controlling income, cash flow and expenditure
• Manage the preparation of the company’s budget
• Maintain the financial health of the organization
• Developing and managing financial systems/models
• Supervising accounting staff
• Identify and develop new financial opportunities and bank loans and facilities
• Prepare necessary reports and interpret financial information in order to deliver to the members of board and CEO
• Develop a proficient understanding of our diverse service offerings
• Responsible to prepare all necessary documents for financial department
• General office duties