performance, financial position and cash flows of the company. Identifying financial and other resources required meet the strategic growth requirements of the company. Support the executive team members with strategic minimising the impact of variances. Ensure that company earns the highest possible risk-adjusted return improvements. Coordinate the preparation of the Company's separate and consolidated Annual Financial Statements ensure no material misstatements. Oversee the internal audits in line with the annual plan. Ensure that
Monthly Budgets Forecast Annual External Audit Internal Audit Treasury/ Banking Analysis/Special Requests