Financial planning and analysis - lead the financial planning process, including budgeting, forecasting, and analysis to support strategic decision-making.
Financial reporting - prepare accurate monthly, quarterly, and annual financial reports and ensure they comply with regulatory requirements and company policies.
Cash flow management - manage the company's cash flow, including forecasting, and optimizing cash position.
Cost management - identify and implement cost-saving and efficiency improvement initiatives.
Investment analysis - evaluate investment opportunities and provide recommendations based on financial analysis and projections.