- Manage the month-end closing & corporate reporting
- Provide professional input into the annual business planning & budget process and monitor the discrepancies.
- Lead the External & Internal audits
- Oversee all financial reporting, and KPI tracking to ensure accuracy as well as implement processes.
- Manage and comply with the local tax requirements and filings.
- Manage the company’s treasury function, and weekly cash forecast, and maintain relationships with banks.
- Update financial spreadsheets with daily transactions
- Create cost analysis reports (fixed and variable costs)
- Process tax payments
- Record accounts payable and accounts receivable
- Process invoices and follow up with clients, suppliers, and partners as needed
- Provide administrative support during budget preparation
- Participate in quarterly and annual audits
Work experience as a Finance manager.Good knowledge of accounting and bookkeeping procedures.Advanced MS Excel skills (creating spreadsheets and using financial functions).Oracle user.Master degree.Organizational and time-management skillsBSc degree in Finance, Accounting or Economics