tax, provisional tax, etc Cash Flow Management: Develop cash flow forecasts and oversee group cash flows
a team of financial analysts and accountants, developing and implementing financial policies and procedures
projects simultaneously. Duties and Responsibilities: Develop and maintain financial reports, budgets, and forecasts
businesses and their business environment. Continually develop appropriate types of financial reports related
within the company. This will be a role that will develop with time.
Hybrid working model - 3 days
raw materials etc. A proven track record of developing and executing financial strategies that drive
reports and presentations to communicate insights. Develop financial models and conduct scenario analysis
existing processes to ensure timely delivery. Develop reports to swiftly meet operational reporting needs
Group CFO. Duties include, but are not limited to: Develop financial well-being of group by providing full
in decision-making. Budgeting and Forecasting: Develop, implement, and monitor budgets, forecasts, and