:Job Description
• Financial Analysis and Reporting:
- o Analyze complex financial data to identify trends, opportunities, and potential risks.
- o Prepare comprehensive financial reports, including income statements, balance sheets, and cash flow statements.
- o Conduct variance analysis to explain deviations from budgets and forecasts.
• Budgeting and Forecasting:
- o Develop and maintain accurate financial budgets and forecasts.
- o Monitor actual performance against budget and forecast, and provide timely updates and recommendations.
• Tax Compliance:
- o Ensure compliance with all relevant tax laws and regulations.
- o Prepare and file tax returns accurately and on time.
• Auditing and Control:
- o Conduct internal audits to assess the effectiveness of financial controls and identify areas for improvement.
- o Collaborate with external auditors to facilitate smooth audits.
• Financial Advisory:
- o Provide strategic financial advice to management on key business decisions.
- o Evaluate potential investments and mergers and acquisitions.
• Process Improvement:
- o Identify opportunities to streamline financial processes and improve efficiency.
- And create invoices
- Implement new financial systems and technologies to enhance accuracy and productivity.