Roles and Responsibilities
Handling asset management of the target for the investment made by the private equity or strategic clients.
Analyze financial and operational data, including accounting records and cost data
Analyze cost data, compare with the budget and conduct discussion with the Management of the target.
Verified vendor payments in terms of financial check and prepared detailed monthly performance reports.
Preparation of monthly Power Point (PPT) report based on the performance of the target company.
Ensure compliance with industry standards and organizational policies
Tracking of Legal Status
reparation of Cash flow statements
Sound Knowledge of MS Excel
Review of customer Files, Rate and receipts, Demand Tracking etc.