Participation in preparation of annual budgets and monitoring their performance by cost centers (on monthly basis) using MS Navision, budget adjustments (on quarterly basis) for life company and non-state pension fund Participation in preparation of IFRS statements based on RAS accounts; taking part in filing monthly, quarterly, semiannual and annual reporting templates for life company and non-state pension fund Preparation of interim fortnightly sales reports and internal monthly management reports for life company and non-state pension fund Providing inputs to expense and channelproduct profitability analysis.