• Forecasting monthly, quarterly and annual results
• Approving or rejecting budgets
• Conducting risk management
• Supervise a team of Accountants
• Allocate resources and manage cash flows
• Conduct profit and cost analyses
• Develop secure procedures to maintain confidential information
• Ensure all accounting activities and internal audits comply with financial regulations
• Recommend cost-reducing solutions
• Oversee all aspects of Finance including Accounting, Regulatory Reporting and Tax
• Prepare financial reporting-related analyses highlighting variances relative to expectations
• Develop cash flow forecasts and balance sheet outcomes based on budgets and forecasts
• Understand the current state of the company’s financial reporting and analysis system
• Manage the annual budget and strategic planning processes