Feasibility Analysis
Conduct detailed financial feasibility studies for new projects and investment opportunities.
Assess financial viability and profitability, including cost-benefit analysis, return on investment (ROI), and break-even analysis.
Prepare and present feasibility reports to senior management, highlighting key findings and recommendations.
Enterprise
orprprise valuations using various methods, including Discounted Cash Flow (DCF), Comparable Company Analysis, and Precedent Transactions.Develop and maintain complex financial models to support valuation analysis.
Prepare valuation reports and present findings to stakeholders.
Market Research and Analysis
Conduct market research to gather relevant data for feasibility studies and valuations.
Analyse industry trends, competitive landscape, and market conditions to inform financial assessm
Ensure compliance with financial regulations and standards.
Identify and mitigate financial risks through effective risk management strategies.
Lead and mentor the finance team, promoting professional growth and development.
Foster a collaborative and high-performance
Develop and implement financial strategies aligned with the company's business objectives.
Provide strategic recommendations to the management based on financial analysis and projections.
Oversee the preparation of financial reports, budgets, and forecasts.
Conduct detailed financial analysis to identify trends, risks, and opportunities.
Manage cash flow, capital, and financial investments.Oversee accounting, tax, and financial reporting activities to ensure accuracy and compliance
convention , tax, and financial reporting activities to ensure accuracy and com
Ensure compliance with financial regulations and standards.
Identify and mitigate financial risks through effective risk management strategies.
Lead and mentor the finance team, promoting professional growth and development.
Foster a collaborative and high-performance
Handle online bookkeeping, accounting, and tax services to US based clientsHandle Payroll Taxes,Business Taxes,Income Tax,Tax return for all catogeryExecution of audits / report finalization.Identify risk related to each observation and make appropriate recommendations for process improvement & future course of action to mitigate the risk involvedAssist line manager in investigations / special tasks.Reconcile the credit card payment and other financial transaction daily basis.Execution of audit field work in line with the approved engagement plan within the agreed timelinensure compliance of Internal Audit policies.execution of audits / report finalizationIdentify risk related to each.Manage all accounting transactions Prepare budget forecasts Publish financial statements in time Handle monthly, quarterly and annual closings Reconcile accounts payable and receivable Ensure timely bank payments Compute taxes and prepare tax returns Manage balance sheets and profit/loss statements Report on the company\'s financial Handling and monitoring flow of money on a day- to-day basis Involves planning, budgeting, and strategizing the flow of money and managing assets and liabilities of the company for the future. Handle Patty cash,AR,AP and etc
Manage all accounting transactionsPrepare budget forecastsPublish financial statements in timeHandle monthly, quarterly and annual closingsReconcile accounts payable and receivableEnsure timely bank paymentsCompute taxes and prepare tax returnsManage balance sheets and profit/loss statementsReport on the company's financial health and liquidityAudit financial transactions and documentsReinforce financial data confidentiality and conduct database backups when necessaryComply with financial policies and regulations
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