infrastructure sector
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ensure financial stability and liquidity.
to support strategic decision-making.
for the group, including subsidiaries
formulation of budgetary and accounting policies
Coordinate physical inventory counts and cycle counts
ANALYSIS: Analysing Project financial feasibilities and profit returns Calculating Project interest rolls Mapping out Project funding split, raise targets and pre-sale targets Analysing Project IRR's and Net Net profit returns Analysing Project costing efficiencies OPERATIONAL: Cash Flow Management (Daily updates flow items) Cash Flow forecasting for Projects and Group Project Bank draw recons and submissions VAT Reporting Shareholders Reporting Project Reporting Bank funding pack creation Project reconciliations between
ANALYSIS: Analysing Project financial feasibilities and profit returns Calculating Project interest rolls Mapping out Project funding split, raise targets and pre-sale targets Analysing Project IRR's and Net Net profit returns Analysing Project costing efficiencies OPERATIONAL: Cash Flow Management (Daily updates flow items) Cash Flow forecasting for Projects and Group Project Bank draw recons and submissions VAT Reporting Shareholders Reporting Project Reporting Bank funding pack creation Project reconciliations between
day-to-day operations, such as managing schedules, coordinating meetings, and handling correspondence. Ensure day-to-day operations, such as managing schedules, coordinating meetings, and handling correspondence. Ensure
day-to-day operations, such as managing schedules, coordinating meetings, and handling correspondence. Ensure day-to-day operations, such as managing schedules, coordinating meetings, and handling correspondence. Ensure