accounting records, and managing controls and budgets to mitigate risk. This role ensures accurate financial management accounts Prepare quarterly board packs Budgeting and forecasting Monitor and interpret cash flows
management activities and specific projects with budgeting, costing, and risk identification Responsibilities: results, prepare disclosure information, compile budget and forecast workings, and perform monthly reporting
particularly relating to inventory Assist with annual budgets and quarterly forecasting Assist in the preparation
dispersed and reported on as required and manage grant budget development Monthly and annual financial management