Financial Reporting:
Prepare and analyze financial statements in accordance with accounting
standards.
Ensure accuracy and compliance with regulatory requirements.
Audit and Compliance:
Conduct internal audits to assess financial controls and compliance
with policies.
Coordinate external audits and liaise with auditors.
Ensure compliance with tax regulations and other statutory requirements.
Budgeting and Forecasting:
Collaborate with management to develop annual budgets and financial forecasts.
Monitor budget performance and provide variance analysis.
Financial Analysis:
Conduct financial analysis to support strategic decision-making.
Provide insights into financial trends, costs, and revenue.
Risk Management:
Identify financial risks and develop strategies for mitigating them.
Implement internal controls to safeguard financial assets.
Cash Flow Management:
Monitor and manage cash flow to ensure liquidity and financial stability.
Optimize working capital and recommend improvements.
Tax Planning and Compliance:
Develop tax strategies to minimize the organization’s tax liability.
Ensure timely and accurate filing of tax returns.
Financial Systems and Processes:
Evaluate and improve financial systems and processes for efficiency.
Implement best practices in financial management.
Financial Advisory:
Advise management on financial implications of business decisions.
Support strategic planning and investment decisions.