Financial planning, budgeting, forecasting cash flows, identifying growth opportunities, project cost analysis, resource mobilization, working capital, treasury management and investments.
- Setting up, Designing and implementing accounting systems & policies / procedures as per regulatory requirements including taxation & compliance annual report and Monthly accounts closure.
- Ensuring preparation of monthly, quarterly and annual financial reports, analysing business operation, trends, costs, revenues, financial commitments and obligations Vis a Vis budget and to project future revenues and expenses, provide feedback and recommendation to the Management.
- Innately possessed with an analytical mind and ability to comprehend complex financial data with proven ability to achieve financial discipline and enhance the overall efficiency of the organization.
- Perfect team manager having ability to lead cross-functional teams and integrate their efforts to maximize operational efficiency and achieved overall business objectives.
- Expertise in identifying areas of strength & weaknesses and drive controllership and manage systems effectively to improve efficiency, enhance cost saving, productivity & bottom line.
- An effective communicator with excellent relationship building & interpersonal skills.