Prepare, analyze, and report monthly, quarterly, and annual financial statements. Ensure compliance with accounting standards, tax regulations, and company policies. Manage and analyze cost and revenue reports to identify profitability trends and support financial decision-making. Monitor performance against budgets and provide variance analysis. Collaborate with department heads to review budget needs and financial performance. Oversee accounts receivable and payable functions, ensuring accurate billing and timely payments. Monitor and manage cash flow and working capital requirements. Implement policies and procedures for credit control and collections. Manage inventory accounting, ensuring proper valuation and reporting. Assign tasks, review work, and provide regular feedback to improve performance and skills. Evaluate financial performance and suggest strategies to optimize profitability and growth.
Financial Reporting & Analysis Budgeting & Forecasting Accounts Receivable & Payable Management Team Management Audit & Compliance Strategic Planning Support
Age limit: 30 to 45 Education: Bachelors degree in Accounting, Finance, or a related field Experience: Minimum of 3+ years of experience in accounting or finance. Proficiency in accounting software and Microsoft Excel. Strong analytical, problem-solving, and organizational skills. Good communication and interpersonal skills. Leadership skills with experience managing a small team