requires the above to support and achieve the group's objectives by working closely with the CFO and
well as compiling budgets and forecasts as well as cash flow projections. Optimising working capital and assisting with annual risk assessments in line with the group requirements. Overseeing monitoring and preparing
well as compiling budgets and forecasts as well as cash flow projections. Optimising working capital and assisting with annual risk assessments in line with the group requirements. Overseeing monitoring and preparing
Handling all cashbooks and reconciliations. Conducting cash flow monitoring and projections. Compiling filed
Handling all cashbooks and reconciliations. Conducting cash flow monitoring and projections. Compiling filed
requires the above to support and achieve the group's objectives by working closely with the CFO and