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JOB_REQUIREMENTS
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Key responsibilities:
Develop financial plans, budgets, and forecasts to support long-term business goals. Analyze financial data to identify trends, assess risks, and inform decision-making.
Preparation of financial statements and reports, presenting them to senior management and stakeholders.
Ensure compliance with financial regulations, standards, and tax requirements. Manage investments and financial risk.
Monitor and manage the company’s cash flow, ensuring financial stability.
Oversee daily financial operations, including accounts payable and receivable, and perform account reconciliations.
Work with other departments to align financial goals with overall business objectives. Provide financial guidance and support to other members of the organization.
Act as a liaison with external partners, such as lenders, investors, and regulatory bodies.
Skills and qualifications:
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