Responsible for the analysis and presentation of financial reports regarding:-
Cash Flow Statements
Potential issues affecting expenses, balances, or cash flow.
Business operations, trends, costs, revenues, financial commitments, and obligations, to project future revenues and expenses or to provide advice.
LC management, project appraisal and financial management.
Plan, direct, and coordinate the activity of finance officer.
Approve, reject, or coordinate the approval or rejection of all finance related matters.
Prepare financial and regulatory reports required by laws, regulations, and boards of directors.
Prepare, examine, or analyze accounting records, financial statements, or other financial reports to assess accuracy, completeness, and conformance to reporting and procedural standards.
Compute taxes owed and prepare tax returns, ensuring compliance with payment, reporting or other tax requirements.
Develop, implement, modify, and document recordkeeping and financial systems, making use of current computer technology.
Advise management about issues such as resource utilization, tax strategies, and the assumptions underlying budget forecasts
Monitor capex of business units, review analysis, executive summary, and forward to top management for approval. Develop capex approval to guide business unit for future compliance
Prepare reports & budgets & review financial statements & coordinate with business units for clarification about variance. Develop & executive strategic financial plans & evaluate & advice on the impact of long range planning of new programs/strategies/regulatory action.
Evaluate need for procurement of funds & investment of surplus.
Coordinate & direct financial planning, budgeting, procurement & investment activities
* Develop & manage annual budgets for the organization, perform periodic cost, profitability analysis & include variance analysis
Oversee reimbursement activities (billing & collection) & manage financial & information systems
Conduct feasibility studies, recommend & implement service charges, monitor revenue & expenditure trends & recommend cost effective operations.
Capital Budgeting, Cash Flow Analysis, Control over cash flow, cash management
Financial operations and dealings with Banks.
Forecasting financial needs and making proper arrangements with banks.
* Minimum 3 years post qualification experience in effective dealing with banks. Preferance will be given to those who have worked in any bank. Preparation of B.R.S
* Good with Mathematics Monitoring abilities Coordination Judgment & Decision making ability
* MS Office & SAP
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