Reconcile all bank statements and monthly financial reports
▪ Reconcilecorporate balance sheets and deliver summary reconciliation reports to the executive team
▪ Preparation and presentation of an annual Financial Plan and budget.
▪ Preparation and presentation of the monthly management accounts Reports.
▪ Implementation of Financial Audits and control system to monitor performance flow of funds
▪ Managing the financials and tax assumptions
▪ Contribution to the company's strategy and development plans, as a member of head office tea
اسم المستقل | Mohamed S. |
عدد الإعجابات | 0 |
عدد المشاهدات | 19 |
تاريخ الإضافة |