Duties will include;
- Drive the budget and forecasting processes
- Variance analysis and business-oriented feedback to the CEO
- Liaise with the Bank institutions for credit lines set-up and management in accordance with the Group input and guidance
- Quarter-end Closing and Reporting activities
- Monthly rolling Cash Flow projections
- Coordinate the local accounting team in all the activities, such as, accounting management and compliance with Local Fiscal requirements
- External Audit procedures and follow-up for Financial Year Audit
- Internal Audit procedures compliance and follow-up