monitoring and interpreting cash flows and preparing cash flow forecast; controlling on daily basis the company cash out in coordination with the Management teamformulating strategic and long-term business plans;researching and reporting on factors influencing business performance;analyzing competitors and market trends;developing financial management mechanisms that minimize financial risk;establishing and maintaining the cost control system for the pipelinesestablishing and maintaining the on-line banking approval procedureestablishing and maintaining the SAP system of the officeestablishing and maintaining the T&E policy of the companyconducting reviews and evaluations for cost-reduction opportunities;managing a company's financial accounting, monitoring and reporting systems;liaising with auditors to ensure annual monitoring is carried out;developing external relationships with appropriate contacts e.g. auditors, solicitors, bankers and statutory organizations such as the Inland Revenue;producing accurate financial reports to specific deadlines;Education : Bachelor degree and above,
Experience : 5+year’s prior experience in Finance Management, 3+ year’s prior experience in Biotech
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