1. Financial Strategy & System Development
Design and implement a structured financial system that aligns with business objectives.
Develop and oversee financial policies, processes, and internal controls to ensure efficiency and transparency.
Establish budgeting, forecasting, and reporting mechanisms that drive informed decision-making.
2. Financial Planning, Analysis & Budgeting
Develop and monitor annual budgets and financial plans
Conduct in-depth financial analysis, identifying trends, risks, and opportunities for cost-saving.
Provide accurate financial forecasts and reports to guide strategic business decisions.
Ensure financial reports comply with industry standards and regulatory requirements.
3. Cash Flow & Risk Management
Manage the company’s cash flow, ensuring liquidity and proper fund allocation for operations and investments.
Identify and mitigate financial risks, including currency fluctuations, market instability, and operational inefficiencies.