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Responsibilities of the job include:

Preparing, interpreting, managing and processing the monthly and end year processes
such as accounts payable/receivable, general ledger, payroll and utilities, budgeting, ,
revenue and expenditure variance analysis, bank account statement reconciliations
financial reports and financial statements
Responsible to manage the cash flow and supervise over the financial transactions
within and outside the company.
Propose an annual budget based upon organizational goals and the planned
expenditures.
Report the fiscal profit/loss incurred on yearly or monthly basis.
Developing, managing a company's financial accounting, monitoring and reporting
systems;
Engage in ongoing cost reduction analyses in all areas of the company
Identify, investigate, and analyze potential operational improvement. As appropriate,
based on findings, make proposal for operational changes (policy, procedures,
processes, etc.)
Working as a assistant Director involve in strategic analysis and planning
Manage and oversee the daily operations of the finance department.
Filing of the Companys annual Income Tax and Monthly Sales Tax Returns, I have a
good knowledge of the NTN and GST registration as well.
Employees EOBI and SESSI registration and making monthly payments.

Skills
You will need to show evidence of the following:
excellent communication and presentation skills;
an analytical approach to work;
high numeracy and sound technical skills;
problem-solving skills and initiative;
negotiation skills and the ability to influence others;
strong attention to detail and an investigative nature;
good time management skills and the ability to prioritise;
the ability to work as part of a team and to build strong working relationships;
the capacity to make quick but rational decisions;
the potential to lead and motivate others;
Excellent organizational skills.
Calm and professional attitude to work under pressure.

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