- Prepare annual budgets in line with corporate strategic objectives and short term annual plans
- Develops financial strategy for the purpose of managing the financial and physical capital
- Complete responsibility of arranging all types of financing (bank loans)
- Manage Cash Flow / Fund Flow, payables, receivables, payroll disbursement and general ledger functions and maintain up-to-date accounting records
- Define and execute financial accounting policies and procedures
- Provide financial reports and analytics to support business decision making.
- Prepare annual financial statements.