Job Description
- Advising on investment activities and provide strategies that the company should take
- Analyze costs, pricing, variable contributions, sales results and the company’s actual performance compared to the business plans.
- Conduct reviews and evaluations for cost-reduction opportunities.
- Manage the preparation of the company’s budget.
- Perform a full set of accounts and ensure timely closing of accounts
- Responsible for timely monthly consolidated financial statements, payments, cash-flow management reporting
- Conduct all necessary training to keep the teammate's skills and knowledge up to date
- Develop and maintain internal control and effective accounting system and policies for the setup
- Managing and structuring the finance department and taking a leading role in training and coaching the finance team.
- Prepare and analyze accounting records, financial statements or other management reports.
- Produce daily and monthly cash flows comparing budgeted costs to actual costs as well as predicting future revenues and financial commitments to plan ahead and prepare accordingly.
- Develop, maintain, and analyze cost accounting and other financial reports that will lead to recommendations which will in turn help modify and improve business operations, revenues, and expenses.
- Responsible for all aspects of company tax compliance.
- Liaise with internal and external auditors and complete statutory accounts.
- Coordination with other finance managers within the same group to implement contractual obligations and ensure timely settlement of accounts.
- Preparation of fiscal financial and statements including balance sheet and income statement