Preparation monthly cash flow forecasts. Preparation budgeting and forecasts. Acting as company secretary
monthly cash flow forecasts and actively participate in budgeting and forecasting processes Serve as
Prepare tax filings. Assist with budgeting and forecasting. Conduct internal audits and recommend process
communication skills. Financial analysis and forecasting. Ability to work under pressure and plan /prioritise
Prepare tax filings Assist with budgeting and forecasting. Conduct internal audits and recommend process
Expenses) Providing inputs to the weekly cash-flow forecast Assist in month end reporting process Marketing
Collaborate on the development of group budgets and forecasts, ensuring alignment with strategic objectives