Grade C PSIRA certificate with Response or Cash in Transit
driving achievement of commercial objectives and cash flow requirements across projects; providing direction
certification. Prepare tender estimates, budgets and cash flow. Do cost control and reporting during pre-contract
schedule. Monitor and update contract turnover and cash flow forecasts as required. Cross-check material
schedule. Monitor and update contract turnover and cash flow forecasts as required. Cross-check material
indicators such as Cost, Schedule and SHEQ Manage Cash flow, invoices, Debtors, Sureties and Guarantees
indicators such as Cost, Schedule and SHEQ Manage Cash flow, invoices, Debtors, Sureties and Guarantees
and certification of completed work inclusive of cash flow forecasts;