indicators such as Cost, Schedule and SHEQ Manage Cash flow, invoices, Debtors, Sureties and Guarantees
schedule. Monitor and update contract turnover and cash flow forecasts as required. Cross-check material
schedule. Monitor and update contract turnover and cash flow forecasts as required. Cross-check material
and certification of completed work inclusive of cash flow forecasts;
and certification of completed work inclusive of cash flow forecasts; Regular site meetings with Contractor
presentation to the Projects Directors · Maximise cash flow through prompt submission of Monthly Valuations
performance and assist in the management of project cash flows, and actively contribute to value enhancement
budgets, manage variations, and provide accurate cash flow forecasts. Maintain budget performance aligned
budgets, manage variations, and provide accurate cash flow forecasts. Maintain budget performance aligned