Job Description
Job Description:
- Ensure financial statements are prepared in compliance with PSAK and company policies.
- Oversee the monthly financial closing process and ensure all financial transactions are recorded accurately and completely.
- Provide financial analysis and insights to management regarding cost efficiency, profitability, and overall business performance to support strategic decision-making.
- Manage the company’s cash flow and liquidity to ensure sufficient operational funding, including preparing and monitoring cash flow projections, optimizing cash balances, and maintaining relationships with banking partners.
- Identify and evaluate investment opportunities aligned with the company’s business strategy, while preparing investment-related analyses and reports.
- Support both internal and external audit processes by preparing the required financial data and documentation.
Qualifications...
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