Job descriptionNet working capital controls and analysisPreparation of Budget and quarterly financial forecasts (cash flows and Balance sheet)Liquidity management and tracking, variance analysis (Actual vs Forecast)Capital Expenditure tracking, reporting, variance analysis, forecast activities.General ledger scrutiny and corrective actionsMonthly book closure as per timelines and introduce process to reduce the monthly closing timelines.Monthly book closure along with schedules for working capital items for audit.Function cost analysis and reporting to various internal departments with proper allocation methodologyAccounting process & systems alignment across the companyProcess improvement and Automations.