Corporate planning, financial planning, budgeting and submission MIS reporting
Controlling & Monitoring Cash Flow and Predicting future trends.
Preparation of VAT returns, Annual Financial Statement and Annual General Meeting
documents and submission in timely manner for Holding & Subsidiary companies for all
regions.
Carrying out Internal audits, Statutory audit and System audits. Liaising with auditors to
ensure annual monitoring is carried out.
Liaison with Bank & Government department on various issues.
Creating and presenting Monthly visibility on performance to the Business Development
Manager’s at UAE, KSA, RSA, Turkey, Philippines, Malaysia, Singapore, Thailand, India and
broader middle east (APAC and GCC)
Formulating Long terms business Plans & AVR/Spend Calculation.
Producing financial reports such as profits, payable, receivables, revenue, expenses and
many others.
Ensure the accurate and timely processing of payment transactions.
Responds to inquiries from the Director of Finance, Controller, and other finance and
firm wide managers regarding financial results, special reporting requests and the like.
Cash Receipts, General Ledger, Payroll and utilities, Variance Analysis and Capital Assets
reconciliations.