Developing and updating accounting, finance management policies and Procedures
Prepare the financial statements
Monitor performance against the approved strategic plan
Effective cash flow management
Prepare the business planning as required by management, and manage risks
Set up and maintain fixed-assets register and calculating depreciation
Overseeing the debtor management process to ensure that debts are recovered on time
Providing and analyzing financial information’s to internal and external auditors, with explain any variance
Producing accurate financial reports to specific deadlines
Credit Control management
Track cash funds and investments to optimize Returns
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