Job Description
Budgetary Control & Financial Planning
- Develop financial models for new ventures, secure financing, and manage budgetary control.
- Translate business plans into actionable financial goals, track performance, and conduct variance analysis.
- Collaborate with senior management on project financing, cash flow, and tax planning.
Cash Flow Management
- Monitor revenue billing, collections, and optimise cash flow to meet financial obligations.
- Liaise with banks to maximise income on cash reserves and provide high‑level financial reporting to the Board.
- Strengthen financial systems, internal controls, and mitigate risks.
- Ensure compliance with government regulations, accounting standards, and tax laws.
- Manage statutory audits, tax filings, and liaise with auditors, tax agents, and company secretaries.
Strategic Leadership
- Build strong relationships with ...
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