- Corporate Underwriting: Create internal metrics to evaluate customers who wish to be extended credit for their purchases on our platform.
- Budget(Annual Operating Plan): Assisting or fully creating the budget, including incorporating historical data.
- Business Finance: Providing financial reporting and analysis to guide decision-making.
- Leadership: Mentoring and managing the accounting and financial staff.
- Cost Savings: Identifying efficiencies and opportunities for cost reductions across the business.
- Invoicing: Ensuring invoices are properly approved and coded in the general ledger.
- Cash flow management: Monitoring and balancing cash flows into and out of a business to meet obligations and optimise investment.
- Audit liaison: Coordinating with external financial, compliance and tax auditors.
- Internal controls: Creating and monitoring company policies and internal controls, especially spending controls, to safeguard company assets and reduce fraud.
- Debt management: Administering loan agreements for company borrowings and collecting money owed to the company from customers.
- Financial strategy: Developing financial strategy, including risk minimization plans and opportunity forecasting.
- Compliance: Ensuring compliance with local law, tax provisions and relevant industry and financial regulations.
- External Reporting: Preparing company tax and financial statements.
- Banking: Setting up bank accounts and managing banking relationships.
- Payroll: Handling payroll processing and labour tax compliance.
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