Job Description:
- Oversee annual budgeting and track the fund flow.
- Spearheads efforts for fund raising from different banks
- Control operating cost by streaming fund flow, refund, concession & collection process
- Creating management tools to measure financial performance, financial ratios, trend analysis, key performance indicators, balance sheet & income statement analysis and budget model
- Performing analytical review of financial operations of the processes, interpreting financial data for determining past financial performance and projecting financial probability.
- Conceptualising & implementing financial procedures, including working capital management, financial controls and costing.
- Administering financial models.
- Developing relationship and credibility with the lead business managers to develop process and with all stakeholders.
Skills Required:
- Numerate, analytical, high attention to detail, able to prioritize ability to combine strong analytical skills with business knowledge
- Accounting & administrative skills
- Excellence in planning & execution.
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