Roles and Responsibilities Develop and implement financial strategies to drive business growth and profitability. Manage budgets, forecasts, and financial reporting to ensure accurate financial planning. Oversee fund management, including cash flow optimization and risk mitigation. Collaborate with cross-functional teams to identify areas for cost reduction and process improvement. Ensure compliance with regulatory requirements through effective audit facilitation. Ensure all accounting activities and internal audits comply with financial regulations Forecasting monthly, quarterly and annual results Supervise the team In-depth understanding of cash flow management, bank reconciliation and book-keeping Data Analysis and Forecasting Conduct profit and cost analysis