Develop and maintain robust financial and economic models to assess project economics, cash flow forecasting, and valuations. Update regulatory and financial models in line with regulatory and lenders ...
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and manage cash flow to ensure adequate funds are available for operations and investments.Oversee daily cash balances and transactions to optimize cash flow and liquidity.Manage bank accounting processes ...
the consistency, accuracy and compliance of accounting, tax and financial reporting across the Searah Group, in line with applicable laws and internal governance.Manage and coordinate the Group tax strategy, ...