Overseeing the overall financial operations of the organization, including budgeting, financial planning, and cash flow management.
Ensuring timely and accurate preparation of financial statements, reports, and analysis, and presenting the information to senior management.
Coordinating and facilitating internal and external audits, ensuring compliance with accounting standards, policies, and regulations.
Leading the budgeting and forecasting process, collaborating with other departments to develop financial plans aligned with organizational goals.
Continuously evaluating and improving financial processes, systems, and procedures to enhance efficiency, accuracy, and internal controls.
Staying updated with accounting principles, tax laws, and other regulatory requirements to ensure compliance and mitigate risks.