- Review reports, budgets, commentaries and financial statements.
- Preparing periodic financial statements, including profit and loss accounts, budgets, cash flows, variance analysis and commentaries.
- Creating, implementing and monitoring processes and procedures around the creation of monthly accounts.
- Attend to the internal & external audit requirements of all kinds.
- Liaising with managerial staff and other colleagues
- Supervising and Review the activities shared services on behalf of the Business Unit.
- Monitor financial authorities- limits.
- Developing and managing financial systems/policies
- Controlling and forecasting income and expenditure
- Assist in the preparation of annual budgets and Cash flow forecasts.
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