Develop and implement and organization’s financial goals.
Execute capital raising strategies to support a firm’s expansion.
Manage processes for financial forecasting, budgets and reporting to the company.
Develop and monitor policies and procedures within generally accepted accounting principles and corporate guidelines to ensure sufficient cash flow, reduced operating costs and increased revenues and improved profitability.
Develop financial and tax strategies.
Ensure underlying accounting records are accurate, complete and in accordance with accounting law.
Ensure that the company complies with all legal and regulatory requirements.
Monitor all open legal issues involving the company and legal issues affecting the industry.
Maintain banking relations
Review prior financial results and discuss anticipated changes to highlight future needs and trends.
Provide recommendations to strategically enhance financial performance and business opportunities.
Oversee the financial operations of subsidiary companies and overseas operations.
Developing Budgets, Managing Profitability, ForecastingCorporate Finance, Dealing with Complexity