Prepare and file tax returns, ensuring compliance with applicable regulations to mitigate risks and enhance financial stability.
Assist in tax planning to enhance compliance and tax efficiency, contributing to cost savings.
Research tax issues and provide recommendations to management, supporting informed decision-making.
Assist in financial analysis and prepare evaluations for financing proposals to secure funding for growth initiatives.
Assist in conducting corporate finance research to provide recommendations that ensure sound financial positioning and support growth.
Assist in managing working capital for optimal utilization of financial resources and liquidity.
Prepare cash flow reports (actual and forecast) to analyze funding needs and enable proactive management.
Support periodic funding utilization reports, ensuring accuracy and timeliness.
Monitor loan administration for compliance with agreements and covenants.
Collaborate with internal teams and stakeholders, including government officers, auditors and financial institutions, to ensure compliance and smooth operations.
Ensure compliance with treasury and tax regulations, maintaining accuracy and accountability to safeguard company interests.
Assist with ad-hoc tasks and duties as assigned, demonstrating flexibility and adaptability to meet the organization's evolving needs.