Manage working capital, cash flow, and cost control to ensure efficient use of financial resources Produce timely and accurate financial statements, management, ExCom, board, and audited reports Oversee audits, including planning, coordination, and resolution of audit queries with internal and external auditors Ensure compliance with tax, regulatory, and statutory requirements (VAT, Income Tax, PAYE, QPDs) Implement robust controls over receivables, payables, inventory, and intercompany transactions Monitor fiscalisation processes and inventory valuation across all sites Lead budgeting, forecasting, and cash forecasting, including recommending budget
Employer: recruitment