1 Financial Planning Strategy Develop financial strategies aligned with business goals Prepare forecasts business plans and annual budgets Analyse financial performance and recommend improvements 2 Financial Management Reporting Prepare monthly quarterly and annual financial statements Ensure accurate MIS P L balance sheet and cash-flow statements Conduct variance analysis and present insights 3 Accounting Compliance Maintain internal controls and audit readiness Coordinate with accountants 4 Cash Flow Treasury Management Manage cash flow working capital and liquidity Oversee banking operations and credit lines Maintain relationships with banks and financial institutions 5 Cost Control Process Improvement Review expenses and identify cost-saving opportunities 6 Risk Management Identify financial risks and implement mitigation strategies Protect company assets and financial data 7 Team Leadership Lead and mentor the finance team Ensure performance evaluation and development Job Type Full-time Pay 30 000 00 - 40 000 00 per month Perks Paid time off Work Location In person