Overview
About the job
Responsibilities
Manage business accounts and preparations of financial statements
Develop and implement financial strategies to support business growth and profitability.
Prepare and manage the company’s annual budget and forecasts.
Oversee the preparation of financial statements, including balance sheets, income statements, and cash flow statements.
Ensure timely and accurate financial reporting to management and external stakeholders.
Monitor and manage cash flow, ensuring adequate liquidity per requirements.
Conduct financial analysis to identify trends, variances, and opportunities for cost savings.
Liaise with external auditors, tax consultants, and regulatory authorities to ensure compliance with all financial regulations.
Qualifications
Bachelor degree in Accounting, Finance or other related fields
Minimum 1 to 3 years of experience in Account and finance functions
CPA Certified will be added as advantage
Proficient in Microsoft Office Suite i.e. Excel or Account system
Flexible to learn
Self-driven, creative and possess strong communication skills