- Prepare financial statements, business activity reports, and Budget.
- Monitor financial details to ensure legal requirements are met.
- Prepare monthly financial reports (Financial Statement, balance sheet, income statements ,etc,) and seek ways to reduce costs.
- Analyze market trends to maximize profits and find expansion opportunities.
- Create strategic business plans based on the analysis of the company’s status and financial forecasts.
- Act as focal point of contact with external auditors, stakeholders.
- Monitor company inventory
- Develop and implement various accounting activities.
- Prepare quarterly and annual account reconciliations, monitor and enforce compliance with tax and financial reporting standards and assist with cash flow forecasting.
Bachelor’s degree in finance or accounting.Excellent Skills of Excell.Fluent in EnglishExcellent ability to problem solving along with solid analytical skills, understanding of the business process, and systems optimization.Comfortable interacting with all levels of management in multiple areas.Strong knowledge of financial reporting.Ability to review data and make relevant management decisions.Strong financial system and business administration understanding.