Roles & Responsibilities:
1. Develop, implement financial controls and oversee define financial procedures and processes.
2. Review budgets, cash flow, financial and management accounts.
3. Financial reporting (IndAS) and in-depth financial analysis and provide expert financial perspective and opinions.
4. Finalization of annual books of accounts, balance sheet and financial reporting.
5. Coordinate and direct the preparation of budget and financial forecasts.
6. Review monthly results and implement monthly variance reporting as compared to budget.
7. Oversee the management cash flow process including generation of cash flow forecast reports.
9. Develop, maintain, and update financial accounting systems for cash management, accounts payable, accounts receivable, credit control, and petty cash.
10. Supervise documentation and maintenance of complete and accurate supporting information for all financial transactions.
11. Ensure all statutory finance & accounts requirements of the organization are met including income tax, sales tax, etc.
Reporting to: Deputy CFO
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