Manage budgeting processes to ensure alignment with organizational goals and operational needs.Monitor and control cash flow to maintain liquidity and financial stability.Prepare and present accurate financial reports to support management decision-making.Ensure compliance with statutory and internal financial policies and regulatory requirements.Drive cost control initiatives to optimize expenses and improve profitability.Oversee audits, both internal and external, ensuring timely completion and resolution of findings.Manage vendor payments and ensure timely reconciliation of accounts payable.Conduct financial analysis and forecasting to guide strategic business growth.Collaborate with cross-functional teams including operations, procurement, and HR to align financial goals.Support business units with financial insights and advice for effective decision-making.Skills Required
Budgeting, Financial Reporting, Cost Control, Audits, Vendor Payments, Financial Analysis