earthworks volumes accurately. Cost Control and Cash Flow: Monitor project costs, draw up subcontract agreements, and process payments. Ensure efficient cash flow and retention management. Safety and Compliance:
overseeing debtors and creditors and assisting with cash management.
Job Experience and
schedule/register and assist with provisions of accruals for cash out forecast.
schedule/register and assist with provisions of accruals for cash out forecast. Assist in updating risk management control and reconciliation (impress system/petty cash) Participation in Site Suppliers evaluation, commercial
schedule/register and assist with provisions of accruals for cash out forecast.
Assist in updating risk management
control and reconciliation (impress system/petty cash)
Participation in Site Suppliers evaluation
forecasting, expenditure control, invoicing, claims, and cash flow management
management, from time to time. Cash sales/transactions are prohibited. Ensure proven cash deposits reflect in the
forecasting, expenditure control, invoicing, claims, and cash flow management Interfacing with clients and coordinating
Measurements of the works, payment certificates and cash flow forecasts Chair meetings with Contractors,
invoicing milestones to maintaining a favourable cash flow position