Cash Flow Management: Monitor daily liquidity, manage accounts payable/receivable, and prepare accurate cash flow forecasts to ensure financial stability.Financial Reporting: Prepare and analyze monthly, quarterly, and annual financial statements in accordance with accounting standards.Budget Planning: Lead the annual budgeting process, monitor departmental spending, and perform variance analysis to track financial performance.Internal Financial Control: Develop and implement internal control policies to safeguard company assets, mitigate risks, and ensure regulatory compliance.ERP System Oversight: Manage and optimize financial data within the ERP system, ensuring data integrity and streamlining automated accounting workflows. Education: Bachelor’s degree in Accounting, Finance, or a related field. Professional certifications are highly preferred.Experience: Proven experience (2–5 years) in financial accounting, budgeting, and internal controls.Technical Skills: Advanced proficiency in ERP software and Microsoft Office.Analytical Skills: Strong ability to interpret complex financial data and provide actionable insights.Attention to Detail: High level of accuracy in reporting and a deep understanding of financial regulations.Language: B1/B2 in English (written and spoken) is essential.