- Managing the accounting team, including setting goals and objectives, providing guidance and direction, and conducting performance evaluations of the team.
- Overseeing the preparation of financial statements, reports and budgets, and ensuring their accuracy and compliance with legal and regulatory requirements.
- Preparing and reporting monthly MIS to the management including balance sheet, profit and loss statement, cash flow statement and financial ratios.
- Maintain effective internal controls in relation to financial transactions and financial reporting.
- Ensuring compliance with relevant laws and regulations, including tax laws and accounting standards.
- Managing and analyzing the company's cash flow and forecasting future cash requirements.
- Working closely with other departments to ensure the accurate and timely flow of financial information.
- Collaborating with external auditors, tax consultants and other financial advisers, as well as banks and other financial institutions to ensure that the company's financial affairs are handled effectively.
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