Responsibilities: Financial Modelling, Forecasting and Management Evaluating infrastructure investment opportunities opportunities Working with lenders Treasury and cash management including interest rate exposure monitoring Due
goals. Set work priorities, create schedules, and manage performance to achieve objectives. Cultivate a collaborative and high-performing team culture. Manage talent, conduct performance reviews, and support
goals. Set work priorities, create schedules, and manage performance to achieve objectives. Cultivate a collaborative and high-performing team culture. Manage talent, conduct performance reviews, and support
reconciliation. Updating Cash books. Assist with management accounts when required. Job Experience &
reconciliation. Updating Cash books. Assist with management accounts when required. Job Experience &
analysis Variance analysis Costing Inventory management Education and Experience: Bcom Accounting At
analysis Variance analysis Costing Inventory management Education and Experience: Bcom Accounting At