Centre Budgetary planning including revenue and capital expenditures. Reviews and analyses of activities
and reporting requirements. Managing the working capital. Provide advice and support to the board and CEO
maintain the fixed asset register, assist with annual capital budgets, handle consolidations, senior-level reporting
and manage cash flow, banking relationships, and capital investments. Provide financial guidance and support
and manage cash flow, banking relationships, and capital investments. Provide financial guidance and support