- Build a financial model to evaluate the effectiveness of the project.
- Working with credit institutions to find capital for projects
- Planning and coordinating the project's cash flow;
- Report to the Board of Directors on the situation of capital sources, capital plans, risk control in credit activities.
- Conduct financial analysis to identify the strengths and weaknesses of the business.
- Planning the financial strategy for the corporation in each specific period. Analyze and set up management tools and reduce financial risks.