- Monitor and safeguard the financials positions of the company
- Reconciliation of general ledger, fixed assets, accounts payable and account receivables
- Assist with analyzing financial statements on a monthly basis and report on variances
- Year-end closing and external audit requirements
- Cash flow preparation and projection
- Assist in documentation and monitoring of internal controls
- Assist and provide management with complete balance sheet information on a quarterly basis
- Manage all the tax reports and topics for the company.
University degree in Finance, Accounting or Economics.5+ years of experience in Finance.Experience in working with financial systems.Problem solving Proactive and resourceful in solving problems, offering innovative and practical solutions in dynamic environment.