Job Description
Manage day-to-day financial transactions and documentation
Prepare monthly, quarterly, and annual financial statements
Oversee budgeting, forecasting, and variance analysis
Ensure compliance with tax laws, reporting standards, and internal policies
Monitor cash flow and assist in treasury functions
Support audits and coordinate with internal/external auditors
Provide financial insights to management for strategic planning
Strong understanding of financial principles, accounting practices, and regulatory standards
Proficiency in accounting systems (knowledge in NetSuite is a plus)
Advanced MS Excel skills (pivot tables, formulas, financial modeling)
Strong analytical, problem-solving, and quantitative abilities
Knowledge of local taxation laws, government regulations, and compliance requirements
Ability to prepare, review, and interpret financial statements and management reports