essential in expanding our market presence and capitalizing on new business opportunities. Your expertise
possible risk-adjusted return on assets and return on capital (or return on equity). • Oversee and monitor effective required. • Effective management of the working capital and cash flow cycle of the business • Negotiation days. • Maximise collections to improve working capital. • Ensure that bad debts are below the threshold
possible risk-adjusted return on assets and return on capital (or return on equity). Oversee and monitor effective required. Effective management of the working capital and cash flow cycle of the business Negotiation days. Maximise collections to improve working capital. Ensure that bad debts are below the threshold
financial plans, operational efficiency, as well as capital assignment strategies. To be a successful financial internal control measures. Treasury and Capital Markets: Optimising capital structure, managing liquidity, and
special corporate projects.
Assist with capital raising to build or expand the business, which is preferred, primarily in M&A and venture capital or investment transactions Extensive understanding
Centre Budgetary planning including revenue and capital expenditures. Reviews and analyses of activities
and operational efficiency. Ensure adherence to capital expenditure guidelines and maintain Capex trackers
and operational efficiency. Ensure adherence to capital expenditure guidelines and maintain Capex trackers
audit process (internal & external) Working Capital Management Provide direction and support to the
and manage the commercial team. Identify and capitalize on opportunities for business expansion. Analyse