Managing daily cash balances; Ensuring that cash flows are adequate to allow business units to operate effectively;
Forecasting cash payments and anticipating challenges arising from limited cash flow;
Maintain banking relationships and negotiating loans and merchant services for business units;
Maintaining our accounts system; Preparing and presenting financial reports for meetings and investors;
Working with executives and business heads to prepare budgets and track profit / loss performance by business unit and on consolidated basis;
Creating solutions to new financial challenges by applying financial/treasury knowledge;
Liaising with other departments and business units on a range of issues;
Providing advice on financial matters impacting on the company as a whole;
Taking responsibility for, and supervising the work of, more junior members of staff;
Preparing financial reports and submissions to relevant government entities;
Arranging financial audits and reviews as required;
Banking money and cheques received and issuing receipts as requested or needed;
Processing credit card payments received and transferring money from Paypal accounts;
Maintaining and transferring money between bank accounts as required;
Payment of invoices and fees as required or otherwise instructed;
Manage payroll and MPF matters for Company, business units and subsidiaries;
Complete tax filings and dealing with matters relating to the IRD;
Recommend and maintain a system of policies and procedures that impose an adequate level of control over Finance Department activities
Minimum Graduation or highest.
MS Office, WOrld , Excel, Power Point, SAP.
Accounts & Finance