treatment of new business processes. • Cash flow projections to treasury. • Advise and coach business managers is in place for all relevant projects. • Post implementation of projects. • Providing necessary information
and Responsibilities Maintain costing records Project costing Generate costing reports Develop and maintain
and related reporting. • Budget and cash flow projections. • Maintaining asset registers. • Accounting
Manage and assist with reporting efficiency projects. Responsible for interim and financial year end
department to ensure correct employee data Lead special projects based on the needs of the department, system upgrades
processes. Evaluate financial performance of project against business case presented. Administration
department to ensure correct employee data Lead special projects based on the needs of the department, system upgrades
planning and cash flow management Monthly cash flow projections and daily management/reporting of all cash flows