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Job Description
- Prepare financial statements, business activity reports, and Budget.
- Monitor financial details to ensure legal requirements are met.
- Prepare monthly financial reports (Financial Statement, balance sheet, income statements ,etc,) and seek ways to reduce costs.
- Analyze market trends to maximize profits and find expansion opportunities.
- Create strategic business plans based on the analysis of the company’s status and financial forecasts.
- Act as focal point of contact with external auditors, stakeholders.
- Monitor company inventory
- Develop and implement various accounting activities.
- Prepare quarterly and annual account reconciliations, monitor and enforce compliance with tax and financial reporting standards and assist with cash flow forecasting.
Job Requirements
- Bachelor’s degree in finance or accounting.
- Excellent Skills of Excell.
- Fluent in English
- Excellent ability to problem solving along with solid analytical skills, understanding of the business process, and systems optimization.
- Comfortable interacting with all levels of management in multiple areas.
- Strong knowledge of financial reporting.
- Ability to review data and make relevant management decisions.
- Strong financial system and business administration understanding.
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