forecasts, bank reconciliations, and treasury operations. Maintain the fixed asset register and perform
forecasts, bank reconciliations, and treasury operations. Maintain the fixed asset register and perform
and assess tax risks associated with business operations and transactions. Develop and implement risk
and assess tax risks associated with business operations and transactions. Develop and implement risk
preparation and on time submission of the annual Operating plan, Forecast 1,2 &3 o Responsible to liaise and assumptions are taken into account in the operating plan & forecast o Responsible for coordination
preparation and on time submission of the annual Operating plan, Forecast 1,2 &3 o Responsible to liaise and assumptions are taken into account in the operating plan & forecast o Responsible for coordination