and manage the preparation of the annual group budget. Coordinate group banking administration and oversee subsidiary statutory audits. Review head office annual budgets, VAT returns, and trial balances to ensure correct
corrective actions as necessary Develop detailed budgeting reports that offer valuable insights into cost Experience with financial modelling, forecasting, and budgeting NB Will be required to travel between different
standard activities like financial reporting and budgeting to more strategic tasks such as compliance supervision cash flow forecasts and actively participate in budgeting and forecasting processes Serve as a company secretary
improvement. Contribute to the development of annual budgets and financial forecasts. Prepare and review tax
register. Oversee the financial planning and budgeting process. Collate, analyse, and prepare financial
Duties: Drive financial planning, forecasting, and budgeting processes to support our ambitious growth plans
for the preparation and analysis of the annual budget and quarterly forecasting process Ensure that all
Preparation monthly cash flow forecasts. Preparation budgeting and forecasts. Acting as company secretary. Ensuring
improvement. Contribute to the development of annual budgets and financial forecasts. Prepare and review tax
balance sheets. Prepare tax filings. Assist with budgeting and forecasting. Conduct internal audits and recommend