Provides strategic recommendations to the Directors and members of the executive management team.
Develop financial strategy, including risk minimization plans and opportunity forecasting.
Perform high-level financial reporting and analysis.
Provide financial analysis, cost analysis, budgeting and revenue forecasting to executive management team to support decision making.
Oversee regular budget consolidation and cash flow management.
Perform risk management by analyzing the organizations liabilities and investments.
Ensure debt management and collection is performed.
Liaise with bankers, auditors, tax agents, company secretary and others government bodies for all preparation of budget and forecast and statutory compliances.
Ensure compliance with accounting standards, taxation regulations and other regulatory requirements.