Main Responsibilities
1 Financial Record Keeping:
◦ Maintain accurate and up-to-date financial records.
◦ Handle accounts payable and receivable processes.
2 Budgeting and Forecasting:
◦ Assist in the preparation of budgets and financial forecasts.
◦ Analyze financial data to provide insights for decision-making.
3 Financial Reporting:
◦ Generate regular financial reports for management.
◦ Prepare and present financial statements.
4 Tax Compliance:
◦ Ensure compliance with local and national tax regulations.
◦ Prepare and file tax returns.
5 Audit Preparation:
◦ Collaborate with external auditors and prepare audit documentation.
◦ Implement audit recommendations to improve financial processes.
6 Cash Flow Management:
◦ Monitor and manage cash flow to ensure liquidity.
◦ Conduct cash flow analysis and projections.
7 Payroll Processing:
◦ Oversee payroll processes, including deductions and taxes.
◦ Ensure accuracy and compliance with labor regulations.
8 Financial Analysis:
◦ Conduct financial analysis to identify trends and opportunities.
◦ Provide insights into cost-saving measures and revenue enhancement.
Requirements and Qualifications