current, fixed, and intangible assets, including cash, stock, inventories, property rights, buildings and processes. Plan, implement, and coordinate security activities in accordance with the ISMS catalogue
including balance sheets, income statements, and cash flow statements, to provide accurate and timely reconciling accounts, and managing collections to optimize cash flow Ensure compliance with tax regulations, including
maintaining the highest standards of compliance and security, making them a trusted partner in the industry Financial Crime Unit Framework to maintain a safe and secure environment. Manage a team dedicated to combating
(preparation where required). Preparation monthly cash flow forecasts. Preparation budgeting and forecasts
drafting consolidation journals, reviewing group cash flow, and managing group banking Annual tasks involve
ensuring accuracy and timely sign-off Develop monthly cash flow forecasts and actively participate in budgeting
intercompany loans are balanced. Conduct bi-weekly group cash flow reviews and manage the preparation of the annual
ensuring accuracy and timely sign-off Develop monthly cash flow forecasts and actively participate in budgeting
Auditor, you'll play a pivotal role in ensuring the security, integrity, and efficiency of our organization's