in financial reporting, budget and forecasting, cash flow management, consolidations and taxation. The
Streamline processes and improve efficiencies in finance Cash flow projections and financial analysis Apply Now
required Processing and reconciliation of Petty Cash/ Korridor accounts Processing payments and sending
reduction of aged debt Ensure that the company's cash flow is maximised through debt collection and minimisation
ideal. You will supervise a team of 7. This is a secure environment in an expanding industry. The position
forecasting creditors' payments for the weekly cash flow forecasts, loading creditors payments, liaising
transactions in a financial institution. Experience in securing infrastructure investment deals in relevant sectors/geographies ensuring deal flow and bankability. Experience in securing deals of appropriate size for sectors and geographies
services, and operational processes, including cash management, payments and treasury services Strong
services, and operational processes, including cash management, payments and treasury services Strong
which includes income statement, balance sheet, cash flow and ration analysis. Ensure compliance with