Prepare annual budgets, forecasts, and long-term financial plans.
Analyze financial performance and provide recommendations to improve profitability and efficiency.
Monitor key financial indicators and prepare management reports.
Oversee daily accounting operations and ensure accurate financial records.
Prepare monthly, quarterly, and annual financial statements.
Ensure compliance with accounting standards, tax regulations, and company policies.
Monitor cash flow, working capital, and banking activities.
Manage company liquidity and optimize financial resources.
Coordinate with banks and financial institutions when required.
Track departmental budgets and control operational expenses.
Identify financial risks and implement corrective actions.
Ensure cost optimization without affecting operational performance.
Coordinate internal and external audits.
Ensure compliance with local financial laws and regulations.
Maintain effective internal controls and financial governance.
Lead and develop the finance and accounting team.
Assign responsibilities and monitor team performance.
Support employee development through coaching and training.