success. Ensure website security by implementing best practices and security measures. Basic understanding via AWS and Cloud Ways Basic understanding of security using Cloudflare Requirements: Matric Certificate
management). Experience with reconciliations and cash management essential. Strong communicator and team
and projections Manage the company's budget and cash flow Monitor and report on financial performance
management statements and related reporting. Budget and cash flow projections. Maintaining asset registers. Accounting
management statements and related reporting. Budget and cash flow projections. Maintaining asset registers. Accounting
within agreed payment terms Monitor and control cash flow to ensure sufficient funds are available to
and optimisation Development of Software Specs Security and compliance Data/Systems integration Ability
accounts Reconcile General Ledger accounts Petty cash control and reconciliation Bad debt control and
Ability to prepare and manage project budgets and cash flow • Produce detailed quotes and BoQ with detail
Responsibilities: Analyze financial statements, cash flow projections, and other relevant data to evaluate