Supervise and coordinate financial activities. Monitor cash flows and predict trends. Regulate and administer Oversee insurance and manage working capital. Review cash positions, release payments, and manage cashflow
reconciliations. Review overhead expenses. Compile cash flow forecasts. Prepare finance reports. Maintain between banks. Assist with tenant queries. Handle cash to master transactions. Matric. Tertiary qualification
report on spend vs budget with forecasting to aid cash flow. Network and develop external links to keep