The ideal candidate will be responsible for working with senior management to develop financial strategies for the organization. You are comfortable handling large amounts of data, acting as a business partner, decision maker, and providing regular financial reporting.
Responsibilities
Develop and manage annual and multi-year budgets that are adequate
for the organization’s needs including preparation of periodic budget forecasts
Prepare and maintain cash flow analyses as needed
Assist the CFO in treasury functions- FOREX bidding, Investments etc,
Analyze monthly financial statements (balance sheet, income statement, and statement of cash flows) and effectively convey analysis to the CFO
Assist in preparing year-end books for audit
Ensure operational compliance with policies, procedures and regulations for any necessary entities
Work directly with the CFO in liaising with Tax Consultants, Auditors,
Bankers and other external relations.
Process vendor payments and check requests
Respond to inquiries from staff regarding budgets, deposits, disbursement requests.
Assist in reconciling all balance sheet and income stat
Qualifications
Degree in Accounting, Finance, or related field
A minimum of 10 years’ experience in a well-structured organization