Analyze financial reports, determine cash flow forecast and develop new financial strategies to achieve revenue goals.
Evaluate financial performances and generate profit and loss statements.
Propose several financial options to support business objectives.
Identify financial risks and develop appropriate action plans.
Discuss financial terms and conditions with customers and perform negotiations when needed.
Provide support in budget preparation and expense management activities.
Coordinate with management in financial analysis and planning operations.
Generate financial reports to management in timely and accurate manner.
Develop accounting control parameters and recommend improvements to current control procedures.
Prepare tax returns and other filings as per company policies.
Work with Auditors in performing financial audits and implementing audit recommendations.
Provide guidance to financial staffs when needed.
Perform month-end reconciliation and account closing processes
Participate in team meetings to discuss about financial results and issues.
Provide financial support in company mergers and acquisitions.