Monitors and interprets cash flows and supports the provision of cash forecasts to ensure liquidity levels.
Ensures that all finances are properly administered and monitored, including but not limited to credit control.
Conducts analysis of complex financial data, extracts and defines relevant information to project future financial performance.
Participates in meetings and maintain professionalism and confidentiality as per the organizations standard code of conducts.
Evaluates financial reporting systems, accounting and collection procedures, and investment activities, and provides recommendations for changes and improvements.
Liaises with all functions to get inputs on budget and preparation of financial reports and forecasts