daily cash flow reports. Participate in strategic planning. Control stock. Ensure compliance with statutory
financial guidance and contribute to business planning processes. Conduct variance analysis and performance
Collaborate with stakeholders to develop audit plans and strategies that address key risks and objectives
financial guidance and contribute to business planning processes. Conduct variance analysis and performance
Reporting VAT calculations and submissions TAX planning Control Funds and Assets Liaise with Auditors/Audit
management. Assist in designing robust remediation plans in response to audits and operational risk incidents
Responsibilities: Budgets, forecasts, and strategic planning: Analyze current trends, economic indicators,
long-term financial forecasts to guide strategic planning and decision-making Identify opportunities to
long-term financial forecasts to guide strategic planning and decision-making Identify opportunities to
Responsibilities: Budgets, forecasts, and strategic planning: Analyze current trends, economic indicators,