Responsibility
1. Reconcile accounts payable and receivable.
2. Compute taxes and prepare tax returns.
CHIEF FINANCIAL OFFICER
Job Discription ( Full-time / On-site)
• Oversee Accounting department, budget preparation, and audit functions, and manage all accounting transactions. • Prepare and generate weekly, monthly, quarterly and annual financial reports, and handle closing and Publishing of financial statement promptly. • Reconcile accounts payable and receivable. • Direct the preparation of all financial statements, including income statements, balance sheets, profit/loss statement, shareholder reports, tax returns, and governmental agency reports. • Compute taxes and prepare tax returns. • Ascertain the results of the financial transactions of the company and record them systematically. • Compare sales and profit projections to actual figures, and budgeted expenses to actual expenses; and make or oversee any necessary adjustments to future projections and budgets. • Review planning processes and suggest improvements to current methods. • Monitor, Oversee and manage the company’s fiscal activity and financial performance, including budgeting, reporting, and auditing. • Review all formal finance, HR, and IT related procedures. • Analyze operations to identify areas in need of reorganization, downsizing, or elimination. • Work with the Managing Director and other executives to coordinate planning and establish priorities for the planning process.
1
Number(s) of
Vacancies
• BSc/BA in Accounting, Finance or relevant field; MSc/MBA is a plus • Certified Chartered Accountant designation preferred. • At least 5 years proven experience as a CFO, finance officer, financial management or relevant role. • In-depth knowledge of corporate financial law and risk management practices • Excellent knowledge of data analysis and forecasting methods • Proficient in the use of MS Office and financial management software, such as QuickBooks
Year(s) of
Experience Required
*Remarks The Chief Financial Officer shall direct, advise and oversee the financial activities of the Company, direct the financial growth of the company, revenue growth, profitability growth, budgeting and cost management, cash flow expansion, preparation of periodic financial reports and summaries, and create forecasts predicting future growth, while maintaining up to date records and reporting of company financials, budgeting and planning, using ranges of cloud-based accounting and records software.
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