meet operational needs. Implement strategies to optimize cash resources. Financial Analysis: Conduct financial to ensure compliance with tax regulations and optimize tax efficiency. Audit Management: Liaise with
Flow Management: Manage cash flow projections and optimize working capital to support operational needs and Develop and implement tax planning initiatives to optimize tax efficiency and ensure compliance with tax
Flow Management: Manage cash flow projections and optimize working capital to ensure liquidity and operational Strategy: Develop tax planning initiatives to optimize tax efficiency and ensure compliance with tax
investment opportunities, pricing decisions, and cost optimization. Business Partnering: Collaborate with cross-functional
trends, variances, and opportunities for cost optimization and revenue enhancement. Cost Management: Implement