Job Description
- Handle and manage all activities and reports regarding payments, taxes, VAT, bank accounts.
- Control Balance Sheet, Profit and Loss and Cash Flow.
- Maintain the financial health of the organization.
- Control and confirm all accounts entry.
- Produce daily and monthly cash flows comparing budgeted costs to actual costs.
- Coordinate and complete annual audits.
- Improve systems and procedures and initiate corrective actions.
- Analyze business operations, trends, costs, revenues, profits, financial commitments and obligations and plan and project future performance and provide advice.
- Prepare daily and accurate management's financial or internal reports.
- Ability to analyze and report by management’s dashboards to CEO.
- Develop trends and projections for the firm’s finances.
- Coordinating and or preparing tax schedules, returns, and information, salary, financial accounting, legal offices, management accounting, purchasing accounting, sales accounting - Responsible for all aspects of company tax compliance.
- Leadership, control, and supervision of all financial and tax affairs of the company, preparation, and analysis of financial reports, and accountability to internal and external accounts.