company's lease agreements. • Responsible for petty cash balances and reviews. • Perform general ledger reconciliations
financial planning and forecasting. Participate in cash flow management. Audits and Compliance: Collaborate
marketing, procurement, logistics, and distribution centres to gather inputs, validate assumptions, and ensure
the Prudential Authority, Financial Intelligence Centre, National Credit Regulator and Information Regulator
the Prudential Authority, Financial Intelligence Centre, National Credit Regulator and Information Regulator
accounting principles, and standards.
regulations, accounting principles, and standards. Oversee cash flow management, liquidity, and banking relationships cost accounting teams. Prepare and monitor weekly cash flows. Ensure standard costing and the related product
regulations, accounting principles, and standards. Oversee cash flow management, liquidity, and banking relationships cost accounting teams. Prepare and monitor weekly cash flows. Ensure standard costing and the related product
and authorise payments. Manage daily and monthly cash flow. People Management Management, coaching, mentoring
Equities, Fixed Income, Bonds, Listed Property & Cash Instruments as well as Local and Foreign Investment