Coordinate an efficient month-end period closing and the subsequent preparation and generation of monthly financial statements for the Company by ensuring accurate accounting entries, verifying of monthly trade & non trade accruals and preparation of financial statements in timely manner for the purpose of reporting to Management.
Coordinate with project controller to determine funds required for the project payment schedules are as per agreed date and ensure availability of funds for cost disbursement.
Contribute to the achievement of the company’s profitability targets by participating in the evaluation of investment in capital projects and providing timely and accurate information to support effective decision making.
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