including income statements, balance sheets, and cash flow statements. Your attention to detail will be margins Prepare income statements, balance sheets, and cash flow statements Compile and submit annual budget
(Revenue and Expenses) Providing inputs to the weekly cash-flow forecast Assist in month end reporting process
(preparation where required). Preparation monthly cash flow forecasts. Preparation budgeting and forecasts
ensuring accuracy and timely sign-off Develop monthly cash flow forecasts and actively participate in budgeting
current, fixed, and intangible assets, including cash, stock, inventories, property rights, buildings