Under the supervision of the Finance and Tax Supervisor, the position is responsible for budgeting and performing internal audits. The role also requires keen monitoring on financial data and prepare accurate statements for the company.
Monitor, gather and analyze financial data such as profit and loss, and balance sheet reports
Prepare weekly cash flow statements and controlling expenditure and cash flow.
Forecast cost and revenues
Organize internal audits such as wage reviews
Prepare budget for the company and per department
Monitor and report on accounting discrepancies
Conduct detailed risk analyses to assess potential investments
Analyze financial trends
Perform month-end and year-end close processes