Key Responsibility:
- Lead the reporting, treasury, TAX and asset management team.
- Support side in the preparation of annual budgets
- Work with department managers agree key performance indicators to measure performance.
- Implement system to ensure information is captured and reported on a timely basis.
- Control tax administrations, dispute controlling, tax planning, communication with tax authority.
- Implement and improve business systems on time and budget. Priorities projects in accordance with executive objectives.
- Develop business systems and analysis teams to deliver specific task and objectives.
- Prepare quarterly reports, investor presentations and other investor information.
- Prepare consolidated monthly financial report for the group and board presentations.