Description
Responsibilities:
• Financial Planning and Analysis:
• Develop and implement financial strategies in alignment with the organization's goals and objectives.
• Conduct financial analysis, forecasting, and budgeting to support informed decision-making.
• Financial Reporting:
• Prepare timely and accurate financial statements, including income statements, balance sheets, and cash flow statements.
• Provide regular financial reports to senior management and key stakeholders.
• Budget Management:
• Collaborate with department heads to create and manage budgets.
• Monitor budget performance and provide variance analysis.
• Compliance:
• Ensure compliance with relevant accounting standards, tax regulations, and other financial laws.
• Coordinate with external auditors to facilitate annual audits.
• Cash Flow Management:
• Manage cash flow to ensure the availability of funds for day-to-day operations.
• Implement effective cash management policies and procedures.
• Risk Management: