Prepares a complete financial statement and submits it to the Board of Directors
- Interprets and analyzes the financial statement continually.
- Develops and maintains an effective cash management system.
- Administers payroll policies.
- Liaises with Group CFO to foreign properties and liability insurance.
- Prepares and processes all insurance claims.
- Coordinates annual audit (or review).
- Prepares daily management reports.
- Prepares daily bank deposits.
- Completes endofmonth accounting reports.