Job Description Main Responsibilities: Lead accurate and timely monthly financial reporting in line with local GAAP and Delta Group policies. Maintain a fully reconciled general ledger with appropriate accruals and prepayments. Ensure compliance with local tax regulations (e.g., VAT, corporate tax) and other statutory requirements. Lead annual budgeting and year-end statutory financial reporting. Manage a finance team of 5 people, establish measurable KPIs, and ensure ongoing performance tracking. Exercise strict control over working capital, including inventory, receivables, and payables. Oversee order-to-cash processes ensuring efficiency and compliance with both local rules and group policy. Actively participate in local management team decision-making, promoting financial discipline and compliance with the authority matrix. Project Work / Change Management: Improve working capital through better stock control, credit management, and streamlined invoicing processes. Implement updates to the local authority matrix aligned with Group policies. Ensure full functionality of the OA (Office Automation) system with timely improvements. Enhance the accuracy and quality of financial reporting. Lead financial and commercial evaluation in contract reviews; collaborate with internal teams and customers to improve terms and report to Corporate.