Follows the liquidity status of the Company and advises on corrective measures to be taken.
Advises the senior management on how to balance the demand for and supply of financial resources.
Calculates tax and transfers same upon approval to the tax authorities on a timely basis.
Makes the accounts of the Company ready for internal as well as external auditors.
Implements corrective measures suggested by auditors after approval by the Company Senior Management.
Periodically evaluates performance of the respective department staff directly reporting to him/her.
Regularly reports to the Finance Director and MD , where activities performed and tasks accomplished by the Department.
Performs any other duties as deemed necessary.
Job Requirement
Qualification and experience
M.A./B.A. Degree in Accounting, Finance or related fields with an experience of 8/10 years in similar position of which 4/6 years in managerial position.