RESPONSABILITATI / BENEFICII:
- Permanently set and implement necessary financial policies and procedures in accordance with company requirements.
- Keeps the local and European CoDir informed of all financial results compared to the budget and forecasting, providing advises and recommendations for their interpretation et propose, if appropriate, solutions in case of unfavourable situation.
- Provides prompt answers to the company tax requirements, in respect of the local laws and internal procedures.
- Is responsible for general accounting.
- Is responsible for the preparation, the distribution and the interpretation of financial information provided to the local CoDir.
- Is responsible, together with the local CoDir, of the preparation and the submission of the budget and the bussines plan.
- Is responsible of all treasury transactions such as the management of petty cash or ex-change, the relationship with the banks and the minimization of the bank charges.
- Is responsible of cash collection
- Is responsible for all tax and statutory matters. He works in close relationship with the appropriate consultants in order to optimise the income after tax and to achieve the objectives set in term of tax |