Key Responsibilities: Financial Planning & Analysis: Develop comprehensive financial plans, budgets, and forecasts to align with organizational goals. Analyze financial performance, identify variances, and provide actionable insights. Assess financial risks and implement mitigation strategies. Accounting & Reporting: Oversee the preparation of accurate financial statements in compliance with accounting standards (IFRS, GAAP). Streamline and improve accounting and reporting processes. Manage monthly, quarterly, and annual financial closings. Regulatory Compliance: Ensure compliance with tax laws, audits, and other financial regulations. Act as the primary liaison with auditors, tax authorities, and regulatory bodies. Cash Flow & Treasury Management: Monitor and manage the companys cash flow to meet operational requirements. Maintain strong relationships with banks and financial institutions and oversee loan/credit negotiations.