"Financial Reporting: Oversee the preparation and analysis of financial statements, ensuring accuracy, compliance, and timeliness in reporting.
Budgeting and Forecasting: Manage budgeting processes, create financial forecasts, and monitor variances to ensure financial goals are met.
Financial Compliance: Ensure adherence to accounting standards, regulations, and taxation requirements. Coordinate audits and ensure compliance with internal controls.
Cash Flow Management: Monitor cash flow, manage working capital, and optimize cash resources to support operational needs and financial stability.
Risk Management: Identify and mitigate financial risks, develop strategies to minimize exposure to financial losses, and ensure risk management practices are in place.
Strategic Planning: Provide financial insights and analysis to support strategic decision-making, including investment opportunities, cost-saving measures, and growth strategies.
Team Management: Supervise and guide the accounting and finance team, set objectives, and ensure efficient workflow and performance.
Skills and Qualifications:
Strong understanding of accounting principles, financial regulations, and financial analysis.
Proficiency in financial software and ERP systems for accounting and reporting.
Analytical skills for interpreting financial data and making informed decisions.
Communication skills for presenting financial information to stakeholders.
Leadership and team management abilities to lead and motivate the finance team.
Strategic thinking and problem-solving skills for financial planning and risk management."