• Planning, organizing, directing and controlling all financial activities of the Company
• Preparation of periodic financial reports (monthly, seasonal, annual) and submitting to senior management
• Preparation and regulation of annual budget and monitoring its proper implementation
• Management of Cash and Investments Corporation
• Increase and analyze financial statements and submit financial statements. Tax and Insurance Rules and Regulations
• Management of Financial Risk Company
• Relationship with Banks, Insurance and Other Financial and Credit Institutions
• Leadership and Development of Financial Team
• Cooperation with other company managers to achieve common goals
• Procurement and presentation of analytical reports to the Board of Directors
Courses Based on Company Performance and Profitability • • Personal Educational and Development Opportunities • Other Benefits of Welfare