Responsible for managing the financial actions, day to day financial operations and transactions, and accounting. Duties include tracking cash flow and financial planning as well as analyzing the company's financial strengths and weaknesses and proposing corrective actions.
- Assist in the development and implementation of goals, policies and procedures related to financial management, budget, and accounting.
- Maintain a documented system of policies and procedures.
- Develop and oversee the SOPs and its implementation for Finance department management.
- To provide an accurate and timely financial service including setting and monitoring of budgets, forecasts, cash flow analysis, management, and financial accounts. Directs and participates in annual budgeting activity.
- Review budgets and financial reports in order to create the most rational prediction of incomes and plan the costs appropriately. Identify, promote, and implement cost reduction initiatives within the service without affecting the quality of service provided.
- Preparation and Administration Budget/Annual Operating plan & Forecast
- Negotiate prices and terms with suppliers and vendors.
Financial Reporting:
- Cash flow Management & Analysis
- Preparation and Administration Budget/Annual Operating plan & Forecast
- MIS/P & L Analysis, Department/ Branch/ Product P & L and Balance sheet with timelines
Job Requirements and Qualifications:
- Min 5 years of equivalent business experience.
- Analytical ability, Financial reporting, Accounting skills, Data Analysis, Budgeting and Planning skills and Auditing, Cost reduction and Fund-Raising expertise, Reviewing skills, Resource Allocation.
- Proficiency in oral & written communications (ability to explain complex financial transactions and data).
- Exceptional leadership and management skills. Effective organizational and negotiation skills.