Responsibilities:
Providing strategic financial guidance and leadership to the organization, ensuring accurate financial reporting, and maintaining compliance with regulatory requirements.
Supporting the company's growth and profitability by analyzing financial performance, identifying areas for improvement, and developing effective financial strategies.
Prepare and review the company's annual budget, quarterly forecasts, and other financial plans.
Analyze financial performance, identifying trends, opportunities, and challenges.
Develop and maintain financial models to support business decisions.
Ensure accurate and timely financial reporting, including preparation of monthly financial statements (balance sheet, income statement, cash flow statement).
Maintain compliance with relevant accounting standards, regulatory requirements, and tax laws.
Coordinate internal and external audits.
Requirements:
- Bachelor's Degree in Finance/ Accounting
- 5 years of working experience in Finance, Accounting/ Controller, Tax and Audit
- Critical Thinker
- Has Audit experience
- Ms. Office: Excel, Word, Power Point
- Financial Statement Analysis & Audit Report Analysis