Perform monthly closing activities ensuring accurate and timely production of financial reports
Provide insights on the performance highlights, projections and analysis (against Plans and Budget, prior periods and benchmarks)
Assist with internal and external audits, provide necessary documentation, and address audit findings or recommendations
Prepare Budget to ensure alignment with strategic business direction
FINANCIAL SERVICES & TREASURY
Strategize and lead the overall efficiency of accounts to ensure compliance with statutory requirements and policies and procedures
Strategize and lead an effective cash management process including cash flow forecast and forex management for optimum utilisation of financial resources through managing & monitoring the working capital
CORPORATE FINANCE
Formulate strategy on funding requirement, optimal capital structure
Manage investor relations and assist in the planning and coordination of corporate events
Maintain proper filing of corporate secretarial documents
TAX
Strategize and provide effective tax planning
Prepare Tax estimates, Corporate Tax, & Indirect Taxes Returns and ensure submission to Inland Revenue Board and relevant regulatory bodies are timely and accurate