Prepare and analyse financial statements, including balance sheets, income statements, and cash flow statements.
Monitor and reconcile bank statements, general ledgers, and other financial documents
Prepare and submit tax returns, including income tax, value-added tax (VAT), and other applicable taxes
Coordinate and facilitate external audits, develop and implement internal control processes to safeguard company assets, mitigate risks, and ensure the accuracy and reliability of financial information
Monitor and manage cash flow, including the timely invoicing and collection of receivables, and the efficient payment of payables