Develop and implement policies and procedures for effective management of accounts receivable.
Develop and implement financial planning strategies to support the long-term growth and sustainability of the organization.
Oversee the preparation and presentation of accurate and timely financial reports, including income statements, balance sheets, and cash flow statements.
Ensure compliance with regulatory requirements, accounting principles, and internal policies and procedures.
Ensure proper investment due diligence is being maintained by the allocated fund managers
Lead the annual budgeting process in collaboration with Branch Heads, Vertical Heads and Department Heads.