Analyze financial data and market trends, and prepare monthly and annual reports.
Ensure that sufficient funds are available to meet ongoing operational and capital investment requirements.
Create and implement various controls to strengthen the internal control of the company.
Perform a variety of advanced financial analyses to determine the present and forecasted financial health of the company.
Communicate and build strong relationships with staff and management team.
Support senior management by implementing strategic financial plan processes, developing ongoing performance tracking reports, and providing recommendations for the companys growth.