Prepare and review monthly, quarterly, and annual closings, producing financial reports, reconciliations, and audited statements for statutory and investor requirements.
Manage cash balances, payments, investments, bank accounts, and loan/debt service activities including drawdowns, repayments, and covenant monitoring.
Coordinate tax filings , liaise with auditors, support investor reporting, and drive process improvements and automation initiatives.
EA Licence No: 11C5502
Registration No: R25127380