Job Description
Budgeting and forecasting:
Tax compliance:
Audit:
Responsible for assisting in the preparation and coordination of internal and external audits of the company's financial statements.
Payroll management:
Help prepare and process employee payroll and ensure compliance with payroll laws and regulations.
Cash flow management:
You will be responsible for monitoring and managing the company's cash flow, including preparing cash flow forecasts and suggesting strategies to improve cash flow.
Financial reporting:
They assist in the preparation and analysis of financial reports for management, including monthly financial statements, annual financial statements, and other financial reports, as required.
Financial control:
Assist in the development and implementation of financial policies and procedures to ensure compliance with company financial management and accounting standards and regulations.
Other duties:
You may be required to perform other duties assigned by your manager to support the finance department and the overall company goals.
Job Skills
- Cash Flow Management
- Management Accounting
- Funds Management
- Microsoft Excel
