Assist Head of Finance with annual budget, P&L, cash flow and investment analysis to be finished within agreed time frame.
Responsible for generating reports, financial analysis and recommendations involving a wide range of factors affecting company’s business goals.
Creation of detailed financial forecasts and P&Ls for internal and related parties with focus on relevant metrics/KPIs.
Prepare the feasibility study for new project investment to support the decision making of the Management.
To Monitor and Manage Budget Control and act as Business Partners in order to help grow the business profitability.
Review supporting document on payment and support Head of Finance to follow up on any queries.
Monitor internal control process with cross function coordinate in both internal and external party