• To provide advice and to assist in resolving issues related to finance, accounting and procurement with the relevant personnel.
• To analyze and evaluate the company's financial status (Cash Flow)
• To supervise, audit and control the company's cash flow
• Conduct a feasibility study for new projects within the company.
• Identify and evaluate suitable loan sources for the company
• Analyze investment plans for the company's projects.
• To facilitate auditors and to oversee proper preparation of working papers for the annual audit
• To plan and present financial strategies that are beneficial for the organization
• To provide proper training to subordinates in order for them to develop skills needed to increase effectivity and efficiency.
• Supervise and oversee the company's financial and accounting operations, including budget planning, expense control, and cash flow management
• Establish financial and accounting policies that align with the overall policies and plans of the company.
• Review and certify the accuracy of accounting records and financial reports.
• To prepare and present financial reports for the executive level and the director’s board
• To review monthly, quarterly and annual financial reports to meet accounting standards and legal requirements.