- Establish strong internal control procedure and financial discipline for the group. - Develops & maintain all necessary financial controls, systems and processes to ensure the efficient and effective of management’s finances. - Preparing the reports of financial results of the company and subsidiaries, performing analysis of financial statements – especially ratio analysis (on solvency, liquidity). - Producing accurate and timely financial information about the company’s financial statues and performance, to enable decision – making related to company’s financial strength and security. - Performing reconciliation between different financial modules. - Developing and monitoring all necessary controls to ensure that the company complies with statutory requirements. - Provide guidance in formulating the accounting policies and subsidiaries. - Professional Accountant Certification: CPA/CA. - Possesses a wide knowledge of accounting and financial policies and procedure especially of IFRS and GAAP. - Conversant with revenue and capital budgeting and control. - Ability to carry out financial analysis including various ratio analysis. |