• Monitor procedures to ensure quality, fairness, regulations, and compliance with local laws in published accounts.
• Collaborate with the Managing Director to oversee company economic performance.
• Manage relationships with external auditors.
• Manage tax returns, VAT, WHT, and communicate with tax authorities.
• Analyze company finances and identify potential concerns.
• Assist with early warning and advising duties, including addressing minority interests as needed.
• Lead financial and accounting professionalism and processes, including training and collective management.
• Responsible for creating and submitting reports from accounting systems for invoices and incoming orders.
• Ensure data quality.
• Help optimize accounting operations and economic reporting for profitability and other purposes.
• Generate managerial reports to meet the needs of the Company Management Committee and Board of Directors.
• Preparation through boar meetings.
• Assist MD with annual financial planning.
• Follow international standards specified by HQ.
• Ensures companies have adequate financial resources and efficient cash flow management.
• Manage and hedge market financial risks, including foreign exchange rates.
• Manage client risk and ensure compliance with credit laws.
• Manage company funding and dividend payments.
• Manage relationship with the bank.
• Board meeting to prepare.
• Assist MD with annual financial planning.
• Follow international standards established by HQ.