Financial Reporting and Analysis: Preparing and analyzing financial statements, including income statements, balance sheets, and cash flow statements. Ensuring that financial reports are accurate, timely, and comply with regulatory requirements.
Budgeting and Forecasting: Developing, managing, and monitoring budgets. Creating financial forecasts to guide business planning and decision-making.
Financial Planning and Strategy: Collaborating with senior management to develop financial strategies that support the company’s overall goals. Providing financial insights and recommendations to enhance business performance.
Cash Flow Management: Monitoring and managing the company’s cash flow (collection and payment) to ensure that sufficient funds are available for operational needs and investments.
Financial Risk Management: Identifying financial risks and implementing strategies to mitigate them. This includes managing currency exchange, interest rates, and other financial risks.
Management Reporting: Communicating financial performance and strategies to the board of directors and other key parties.
Cost Management: Analyzing and managing the costs associated with the company’s operations to ensure efficiency and profitability.
Bachelor’s degree in Accounting
Having at least 8 years of working experience in Finance & Accounting
Excellent knowledge of tax accounting and tax compliance
Excellent interpersonal, communication, and analytical skills
Fast learner and ability to adapt
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