Developing and articulating financial strategy for the company based on business growth plan.
Liaise with external financial services organsations to ensure the business remains remains adequately funded i terms of debt, equity an working capital requirement.
Establish and maintaining an effective financial management framework covering treasury, tax planning financial control and management information systems.
Managing the budget processto ensure all budget meet periodic requirements and revenue estimates of the business.
Coordinates the monthly financial performance monitoring and reporting activities.
managing the company's assets and liabilities to ensure current knowledge of company's cost of funds.
Review effectively all financial and accounting transactions and ensure compliance with process/procedure and statutory or regulatory requirements.
Ensure timely and comprehensive financial and management reporting to aid decision making process.