Monthly, quarterly and yearly financial reports Formulating strategic and long-term business plans Performance reporting Enstablishing and implementing financial KPI P&L and budget forecast Cash flow forecasting and controlling Optimization of working capital Key contact person to banks, financial institutes, layers and tax advisers International project management. Financial modeling and sensitivity analyses Business presentations to external partners Establishing and maintaining the relations with banks and other financial institutes Expanding projects with establishing new branches in new countries Direct reporting to CEO