Flexible working hours. Duties: New business development. Financial needs analysis. Relationship building
Collaborate with property managers and stakeholders to develop annual budgets and cash flow forecasts for real tax audits and assessments. Internal Controls: Develop and implement internal control procedures to safeguard
goals, risk tolerance, and financial situation. Develop and maintain a comprehensive understanding of financial
benefits, dividend tax issues, and research and development process. Liaises with the executive members of