accounts, and producing relevant financial reports. Forecast cashflow projections daily and monthly. Analysing basis. Analysing the costs changes vs Projects forecast Monthly and annual period end closing. Analyse
reports on account performance, including sales forecasts, revenue growth, and customer satisfaction metrics experience in sales Must have experience with sales forecasting, budgeting and drafting proposals Strong excel
reports on account performance, including sales forecasts, revenue growth, and customer satisfaction metrics experience in sales Must have experience with sales forecasting, budgeting and drafting proposals Strong excel
coaching of Business Analysts and   Dealmakers
• Provide advice to Business Analysts and Dealmakers
and analysis
accounts • Assist Financial Manager in receivables forecasting. • Generate reports detailing accounts receivables
prescribed format. Prepare monthly forecast to inform the cash flow forecast. Resolve price queries through
prescribed format. Prepare monthly forecast to inform the cash flow forecast. Resolve price queries through
financial results. Prepare annual budget and profit forecasts. Prepare and submit all VAT requirements and Tax
financial statements