Overview

Responsibilities:

1. Financial Planning and Analysis:

– Develop and manage the annual budgeting and forecasting processes.

– Analyze financial data to identify trends, risks, and opportunities

– Prepare regular financial reports and provide insights to support decision-making

2. Financial Reporting and Compliance:

– Ensure accurate and timely financial reporting in compliance with regulatory requirements.

– Manage external audits and coordinate with auditors to ensure a smooth audit process.

Maintain internal controls to safeguard company assets and ensure compliance with financial policies and procedures.

3. Cash Flow Management:

– Monitor and manage cash flow to meet operational and investment needs.

4. Financial Strategy:

– Collaborate with senior leadership to develop and execute financial strategies that align with the organization’s goals and objectives.

5. Banking and Treasury Management:

– Manage relationships with financial institutions, including banks and other financial service providers.

– Oversee daily banking operations, including cash management, wire transfers, and reconciliations.

6. Vendor and Stakeholder Relations:

Negotiate financial agreements and contracts with vendors and external stakeholders as necessary.

Qualifications:

– Certified Chartered accountant with relevant 3 years of work experience

– Strong knowledge of financial principles, regulations, and accounting standards

– Ability to work under pressure and meet tight deadlines

– Knowledge about direct and Indirect tax

– Ability to multitask, prioritize, and manage time effectively