Responsible for full set of account for 2 entities.
Budgeting and Forecasting: Creating budgets and financial forecasts
Financial Reporting: Preparing and closing of monthly and annual financial statements,balance sheets, and income statements for management review.
Prepare the consolidated financial statement in the monthly basis.
Cash Flow Management: Monitoring cash flow, managing accounts receivable andpayable, and ensuring proper cash management practices.
Cost Control: Identifying areas for cost reduction and implementing strategies tooptimize expenses.
Financial Analysis: Conducting financial analysis to assess the financial health of thebusiness and identify areas for improvement.
Tax Compliance: Ensuring compliance with tax laws and regulations and coordinatingwith external tax advisors.
Audit Preparation: Coordinating with auditors for financial audits and ensuringcompliance with audit requirements.
Any other ad hoc requests from reporting manager.
Job Type: Full-time
Language:
- english (Required)