1) Review of all daily transactions.
2) Preparation of Operational Cash Flow and management of funds.
3) Liaison with banks for day to day activities as well as arrangements of bank facilities.
4) Preparation Budgets & analysis with actual results.
5) Controlling and guiding team under him.
6) Coordinating with External Auditors for Annual and Interim Audit.
7) Preparation and filing of VAT, Income Tax, WHT Returns after discussion with Tax Consultants.
8) Training the team under him.
9) Controlling over all the department and making necessary improvements.
10) Reporting to higher management.
11) Monthly, quarterly and annual Financial Statements.
12) Adhoc reporting required by higher management.
Qualification: ACCA, CPA or CA
Experience: Minimum 5 years in Accounting, Finance, Audit and Tax
Personality: Strong
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