Skills: Financial Analysis, Budgeting, Accounting, Financial Reporting, Risk Management, Data Analysis, Excel Proficiency, Financial Modeling,Key ResponsibilitiesFinancial Planning and Analysis: Develop and maintain financial models for budgeting and forecasting. Analyze financial data to identify trends, variances, and opportunities for improvement. Prepare detailed reports on financial performance and provide insights for strategic decision-making. Accounting and Reporting: Oversee the preparation of financial statements in compliance with regulatory standards. Ensure timely and accurate month-end, quarter-end, and year-end closing processes. Manage accounts payable, accounts receivable, and general ledger reconciliations. Budgeting and Cost Control:
Assist in the development of annual budgets and monitor budget performance. Implement cost control measures to enhance profitability and efficiency. Provide recommendations to management on cost-saving initiatives. Treasury Management: Manage cash flow and liquidity to ensure the organization's financial stability. Oversee investments, debt management, and banking relationships. Conduct risk assessments and develop strategies to mitigate financial risks. Compliance and Auditing: Ensure adherence to financial regulations and internal policies. Coordinate internal and external audits, addressing findings and implementing corrective actions. Maintain proper documentation and records for audit purposes. Tax Planning and Management:
Prepare and file tax returns, ensuring compliance with tax laws and regulations. Identify tax-saving opportunities and manage tax liabilities. Liaise with tax authorities and external consultants as needed. Financial Systems and Processes: Implement and maintain financial software and systems. Optimize financial processes and procedures to improve accuracy and efficiency. Train and support staff in the use of financial systems and tools. Stakeholder Communication: Present financial reports and analysis to senior management and stakeholders. Communicate financial insights and recommendations effectively. Collaborate with other departments to support overall business objectives. Skills And QualificationsEducational Background:
Bachelor's degree in Finance, Accounting, Economics, or a related field (Masters degree or professional certification such as CPA or CMA is a plus). Experience: Proven experience in finance or accounting roles, preferably in a similar industry. Technical Skills: Proficiency in financial software (e. g. , SAP, Oracle, QuickBooks) and advanced Excel skills. Analytical Skills: Strong analytical and problem-solving abilities, with attention to detail. Communication Skills: Excellent verbal and written communication skills. Organizational Skills: Highly organized with the ability to manage multiple tasks and meet deadlines. Ethical Standards: High level of integrity and adherence to ethical standards. Work EnvironmentOffice Setting:
Primarily office-based with regular interaction with other departments.
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