Responsibilities:
Provide Management and Statutory Accounting Reporting monthly, quarterly, annually, as required, including responsibility for the production and consideration of these reports.
Efficiently plan and manage the tax activities of the Company; ensure that the tax obligations are met and full advantages is taken of all available tax allowances within the business units.
Preparation of consolidated cash flow and cash flow forecast weekly, monthly, quarterly and annually and monitoring of actual cash balances against forecast.
Annually preparation of Budgets and Plans as required and Plan and control the management of budgets and forecast preparation; coordinate closely with concerned line Mangers and Finance and Accounting functions of the Company to ensure their budget preparations and controls conform to policy and regulations, including format and timetable.