1. Financial analysis and reporting: You will be responsible for analyzing the company's financial data, preparing financial reports, and presenting financial information to senior management.
2. Budgeting and forecasting: You will need to develop and manage the company's budget, as well as create financial forecasts to help the company plan for future growth and investment opportunities.
3. Accounts payable and receivable: You will be responsible for managing the company's accounts payable and receivable, including processing invoices, issuing payments, and following up on outstanding payments.
4. Cash management: You will need to manage the company's cash flow and ensure that there is enough cash on hand to cover expenses and investments.
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