- Analyse business data and prepare reports.
- Manage budgets, financial controls, and fund flow.
- Prepare and present P&L; and financial statements.
- Prepare and analyse monthly cash flow reports.
- Prepare revenue reconciliation and MIS reports.
- Support debt planning and fundraising.
- Prepare team-wise P&L; and cash flow reports.
Requirement
- Relevant finance experience.
- Solid knowledge of financial reporting and analysis.
- Excellent MS Office skills.