Establish and maintain the financial policies and procedures for the company.
Support management by facilitating the financial requirements to meet its overall strategic direction.
Oversee the management and coordination of all fiscal reporting activities for the organization including: revenue/expense, balance sheet, cash flow & liquidity monitoring.
Oversee the management of the company’s assets and liabilities.
Oversee and manage Accounts Payable, Billing, Receivable, Collections functions for General International Group.
Oversee and manage the banks liquidity situation and the placements of liquidity reserves.
Provide daily, weekly, monthly reports to determine status of financial condition by collating, interpreting, and providing insights.