Developing budgets and financial reportsIntroducing data into our financial systemMonitor receivables, payables and collectionsPublish financial statements on timeHandle monthly, quarterly and annual closingsCompute taxes and prepare tax returnsManage balance sheets and profit/loss statementsPrepare and review annual budgetsManage cash flow, bank transactions and transfersRenewing the company's financial statements to ensure their accuracyTracking, reporting and analyzing budget vacancies on monthly basisPreparing month-end reports for management , including bank statements reconciliation, profit and loss statements, balance sheets, and cash flow statementsRecommending changes in policies or procedures to improve financial performanceEnsuring compliance with government regulations and tax declarationsReporting directly to the General Manager Bachelor's degree in AccountingExcellent Computer skills (Microsoft, advanced excel, software, networks, etc)Good command of spoken EnglishProven experience in financial managementAnalytical skillsStrong leadership skills