




Job Summary: Manage cash flow, coordinate accounts and reconciliations, and support strategic decision-making through reporting and performance monitoring. Key Highlights: 1. Cash flow management and forecasting, and financial indicators. 2. Coordination of accounts payable, accounts receivable, and reconciliations. 3. Strategic support through reports and performance monitoring. **Description:** Manage cash flow, forecasts, and financial indicators Coordinate accounts payable and receivable and reconciliations Monitor performance, prepare reports, and support strategic decisions **Compensation Notes:**


