1) ACCOUNTING & REPORTING
- Oversee month-end and year-end closing activities, prepare and review financial reports and present findings in management meeting.
- Prepare and submit financial reports as required by Headquarters and regulatory authorities.
2) FINANCIAL PLANNING & ANALYSIS
Lead the preparation of annual budgets and periodic forecast.Monitor financial performance against budget / forecast and report variances.3) COST MANAGEMENT
Develop and implement cost control strategies to improve efficiency and profitability.Monitor and analyse cost structures, highlight cost saving opportunities across department.Provide management with cost analysis reports to support pricing, investment and resource allocation decisions.4) COMPLIANCE & INTERNAL CONTROL
Ensure compliance with statutory regulations, tax requirements and company policies.Liaise with auditors, tax agents, bankers and regulatory authorities.5) TREASURY & CASH FLOW MANAGEMENT
Manage company cash flow, working capital and banking relationships.Review and approve payments, investments and financing arrangements.Optimise funding strategies to support business growth.6) TEAM LEADERSHIP
Lead, mentor and develop Accounting & Finance team.Define departmental goals, monitor performance and support professional development.#J-18808-Ljbffr