Manage daily cash flow, accounting transactions, and overall financial control of the company. Prepare monthly financial reports including P&L, Balance Sheet, and Cash Flow Statements. Monitor and control stock, inventory, and related accounting records. Manage Accounts Receivable (AR) and Accounts Payable (AP) to ensure accurate and timely transactions. Monitor company expenses, costs, and budgets to maintain effective cost control. Lead and supervise the accounting team and ensure smooth day-to-day operations. Develop and maintain internal controls and Accounting SOPs. Provide financial analysis, insights, and reports to management to support business decisions.