Job Description:- Develop and maintain financial models, forecasts, and budgets to ensure the organization's financial health and stability.
Monitor and analyze financial data to identify trends and patterns for decision-making processes.- Prepare and analyze financial statements, including income statements, balance sheets, and cash flow statements.
Collaborate with other departments to prepare financial reports and presentations for leadership and stakeholders.
- Coordinate with external auditors to carry out financial audits and comply with regulatory requirements.
Participate in the development and implementation of financial policies and procedures to ensure compliance with applicable laws and regulations.- Manage the company's account receivables and payables.
Ensure tax compliance and liaise with tax authorities.
- Manage financial transactions, including reconciliations, cash management, and employee expenses.
Provide financial advice and guidance to business leaders to support strategic planning and decision-making processes.
Bachelor's degree in Accountancy- 3+ years of experience in finance and accounting roles
Strong analytical and problem-solving skills
- Excellent communication and interpersonal skills
Advanced knowledge of financial modeling, forecasting, and reporting- Strong attention to detail and accuracy
Knowledge of tax regulations and compliance-related guidelines
Job Type: Full-time