Oversee the meticulous preparation of the annual revenue and expenditure budget, ensuring alignment with organizational strategic goals and financial targets.
Direct the analysis of financial performance, identifying key variances and providing insightful recommendations for corrective actions and improved efficiency.
Lead the timely and accurate processing of all revenue and expenditure transactions, ensuring compliance with accounting standards and internal controls.
Manage the reconciliation of bank statements, accounts, and other financial records, resolving discrepancies and maintaining data integrity.
Supervise the preparation of financial reports, including monthly, quarterly, and annual statements, offering clear and concise financial insights.