Customer Associated Finance Manager (Internal And External)
CurrentMaintaining cash flow by reviewing banking activity and reconciling monthly reports.Producing financial reports related to budgets, account payables, account receivables, expenses etc.Developing and interpreting databases and financial models.Promoting process improvements in specified budget areas.Managing the company budget to maximize revenue and identify potential areas for savings.Monitor inventory levels and manage all cost controls on weekly basis.Ensure compliance all handbook policies and practices in all company processes.Review all daily deposit and maintain effective control on same and place all deposit in hold within required timeframe.Evaluate all working of formal staff and ensure compliance to all timescales.