Develop the company’s financial plans and budgets. Conduct regular financial analysis and evaluations to identify issues and provide timely solutions.
Financial Reporting & Monitoring
Prepare accurate and timely financial statements. Monitor cash flow, assets, and liabilities to ensure the accuracy and completeness of financial data.
Cash & Fund Management
Oversee the company’s fund management, including cash allocation, forecasting, and cash‑flow planning, to ensure the safety and effective utilization of company funds.
Cost Management
Establish cost‑control strategies, monitor production costs and operational expenses, identify opportunities to reduce costs, and enhance company profitability.
Tax Management
Manage tax planning and filing processes, ensure full legal compliance, and optimize t...