indicators to forecast its short, medium, and long-term cash flow position. The successful incumbent must possess Drive forecasting and budget preparation including cash flow and PL & BS forecasts. Perform other accounting Review budget variance analysis. Review monthly cash flow forecasts. Financial Reporting and Compliance Review and accounting policies and procedures. Cash & Cost Management – Approve and release payments Directors of the company, prepare dividend forecasts and cash flow for Class A and Class B shareholders of the
change management strategies to facilitate smooth transitions during project implementations. Perform customization
activities, including budgeting, forecasting, and cash flow management. Prepare financial reports, statements
budgeting, forecasting, and financial reporting. Cash flow management. Prepare and present financial statements
reports for various company accounts pertaining to cash flow. Provide management and guidance to Cashbook