years in a regional or super regional shopping centre as Operations manager
procedures, support admin tasks, oversee project costing, cash flow, compliance, and reporting. Key Qualifications:
in financial reporting, budget and forecasting, cash flow management, consolidations and taxation. The
organization's success. With a focus on financial analysis, cash management, debtor and creditor control, budgets
reporting
ncial statements
Duties:
Cash Flow Management:
within the group. Treasury: Ensure that Cash Budgets and Forecast cash flow positions are prepared on time liquidity requirements of the group and ensure future cash flow requirements are based on accurate projections
within the group. Treasury: Ensure that Cash Budgets and Forecast cash flow positions are prepared on time liquidity requirements of the group and ensure future cash flow requirements are based on accurate projections