Prepare and analyse the financial statements in accordance with the International Financial Reporting ? Cash Flow and forecasting of financial Position ? Annual Budgets ? Preparation of Project Revenue & Cost Analysis Report. ? Revenue Recognition & Costs. ? Accounts Receivable Reconciliations, Aging & Bad debts ? Accounts Payable Reconciliations & Aging ? Fixed Asset Management. ? MIS Reports, External Auditing and Bank issues. ? Import and Export letter of Credit procedures. ? Guarantees, Bonds, Coordinating with Trade Finance Department of Banks. ? Stocks & Inventories Verifications. ? Payroll processes including Leave & End of service