To manage time value of money,bond valuation,capital budgeting,capital structure, CAPM
To monitor the financial system in order to ensure that the municipal finances are maintained in an accurate and timely manner
To prepare the budget,implement financial policies and procedures
To maintain cash controls and reconcile the general ledger
To monitor cash reserves and investments
To prepare and reconcile bank statements
To maintain supplier accounts,processes supplier invoices, and maintain the purchase order system
To ensure data is entered into the system and issue cheques for all accounts due
To ensure transactions are properly recorded and entered into the computerized accounting system
To handle cash flow planning and analysis budget preparation
To manage loan from banks and loan agreement management
To be responsible for easibility study, company valuation & financial risk management