about the company
A stable metal commodities company
about the job
- Handle financial transactions and monitor group profitability, generate reports on demand
- Liaise with external auditors to plan, organize and coordinate the year-end close process
- Ensure successful completion of the company's tax filings, trade deal analytics
- Prepare financial statements
- Responsible for company's cashflow, credit line utilization, cash availability forecast
- Overseeing payables,receivables, dividend payments, payroll, expenses
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