Responsibilities: 1. Manage financial reporting, budgeting, and forecasting to ensure accuracy and compliance with company goals and regulations. 2. Oversee accounts payable, receivable, and general ledger operations. 3. Conduct financial analysis to identify cost-saving opportunities and support decision-making. 4. Ensure compliance with tax laws, financial regulations, and accounting standards. 5. Monitor cash flow and maintain effective working capital management. 6. Lead external audits and implement strong internal controls to mitigate financial risks. 7. Collaborate with cross-functional teams to optimize financial planning and resource allocation. 8. Provide leadership and guidance to the finance team, ensuring effective performance and professional development.
Requirements: 1. Minimum 5 years of financial management experience. 2. Strong knowledge of financial regulations, tax laws, and accounting standards. 3. Proficient in financial software, ERP systems, and advanced Excel. 4. Experience in budgeting, forecasting, and financial analysis. 5. Excellent English communication skills, both written and oral. 6. Proven experience in managing audits and implementing internal controls.