?Responsible for cash flow management and projection based on rolling forecasts.
Budget control and cost center allocation of expenses, reporting and variance analysis
Profitability analysis through financial management and controlling Financial reporting (monthly P&L) and preparation of annual budgets and year-end audits
Ensure accurate financial and accounting records are maintained in accordance with Accounting Principles and regulations
will be responsible for handling the overall cash
Exposure to multi-cultural work environment is preferable.