- Preparing payment tracking reports
- Carrying out a comprehensive assessment of financial plans and methods of implementing them, identifying problems and developing appropriate strategies to avoid or solve them
- Making budget forecasts for the company for specific periods
- Verifying the legality of financial documents and the decisions taken by the company in this aspect
- Processing tax payments and submitting returns
- Providing expert professional solutions to the financial risks facing the company
- Implementing the annual audit of the company’s reports
- Maintain all company financial documents and keep them confidential and secure
- Creating harmonious relationships between employees’ payrolls and the company’s bank statements so that the company’s financial position is properly studied and planned.