Allocate funding sources for project development
Prepare information on real estate development projects to present for consideration and approval of the support amount
Coordinate with financial institutions in evaluating project property values to prepare reports for consideration and approval of credit limits.
Prepare Current report to show sales potential of each project on a quarterly
Prepare a weekly report on the balance of funds and outstanding debts of the group of companies
Prepare documents and submit information to the SEC and Tris rating for presentation in the annual report
Prepare financial statements, business activity reports, and forecasts, monitor financial details
Control direct and indirect costs to increase profits
Prepare tax report to submit to the Revenue Department
Provide funding sources to enhance Liquidly for the organization
Prepare employee salaries using the bank's Payroll System
Prepare monthly reports to submit to the Social Security Office
Responsible for other duties as ordered by the top Executive
Coordinate and prepare monthly documents to send to the Auditor
Coordinate with the SEC to prepare documents to submit for renewal of the appraisal company
Be a part of the management team in setting various organization polices to build the potential of employees and the organization to increase efficiency
Check daily sales and reconcile accounts for a total of 12 branches, along with generating sales reports.
Prepare financial reports to analyze profits and losses on a monthly basis.
Control direct and indirect costs to increase profits.
Prepare tax reports to submit to the Revenue Department.
Evaluate the financial situation in order to prepare alternative sources of funds.
Coordinate and prepare monthly documents to send to the auditor.
Coordinate with the purchasing department to check and reconcile monthly product stocks.
Monitor and report internal cash flow every week.
Prepare employee salaries using the bank's Payroll system.
Prepare monthly reports to submit to the Social Security Office
HOMELAND REAL ESTATE 2024 CO., LTD. & Group DEC 2024 - APR 2025
Assistant Financial Manager
Prepare financial reports of the organization and its subsidiaries to analyze liquidity on a monthly basis and present to the CFO.
Participate in the determination of financial policies and the creation of financial strategies for the organization and its affiliated companies.
Analyze the financial status of the organization and forecast the financial status of the organization and manage financial risks.
Collect financial information of the organization and its group companies to analyze costs, profits, sales or losses and recommend appropriate cost reduction methods.
Coordinate with other departments to implement proper financial policies.