Key Responsibilities:
•Prepare and update Profit & Loss (P&L) reports, including variance analysis between actual results and budgeted figures.
•Generate and report weekly expense summaries.
•Maintain and update short-term and long-term cash flow reports.
•Lead and support the company’s budgeting process, including long-term financial planning.
•Manage and control company leasing activities, including leasing arrangements for new projects.
•Perform reconciliation and detailed analysis of accounting records to ensure accuracy and compliance.
Qualifications:
•3-5 years of related work experience
•Computer skills: Proficient in Microsoft Office, especially Excel
•Other skills: Basic knowledge of accounting principles and practices