Provide leadership to the Board's Finance and Accounting strategy, to optimize the company’s financial performance and strategic position among the market competitor.
Managing all financial procedures, tacking Decisions, arranging Contracts, prepare and organize financial year, handling ingoing/outgoing correspondents (Invoices, Contracts).
Take overall control of the company’s accounting function and maintenance of the company books.
Review Sales team productivity and efficiency
Contribute fully to the development of company strategy across all areas of the business, challenging assumptions and decision-making as appropriate and providing financial analysis and guidance on all activities, plans, targets and business drivers.
Prepared all monthly, quarterly, and annual financial reports.
Monthly review of Budget performance & analysis for shortcomings and budget variances.
Take ultimate responsibility for the company cash management policies.
Present monthly & annual accounts to managers. Also Analysis financial statements to pinpoint potential weak areas.
Establish a high level of credibility and manage strong working relationships with external parties including customers, suppliers, bankers and advisors.
Arrange and manage warehouse, plan routes and process shipments and resolve any arising problems or complaints.
Ensure that materials are delivered to managers sites in a timely manner, also transport costs and efficiency of all inbound and outgoing shipments.