Manage daily cash balances, liquidity positions, fund transfers, intercompany transactions, and payment schedules.
Prepare and monitor rolling cash flow forecasts at project, company, and group levels, ensuring adequate funding for operational and project requirements.
Work closely with project and commercial teams to prepare project budgets, forecasts, and P&L reports, while monitoring performance against budgets and identifying variances.
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Manage daily cash balances, liquidity positions, fund transfers, intercompany transactions, and payment schedules.
Prepare and monitor rolling cash flow forecasts at project, company, and group levels, ensuring adequate funding for operational and project requirements.
Work closely with project and commercial teams to prepare project budgets, forecasts, and P&L reports, while monitoring performance against budgets and identifying variances.
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Assist in preparing individual and corporate tax computations• Assist with tax filing and compliance documentation• Perform basic tax research and keep updated on tax regulations• Prepare and organize tax-related documents and working papers• Assist in handling client information and correspondence• Support the team in tax audits and other tax-related matters• Perform other ad-hoc tasks assigned by seniors
WE ARE HIRING – TAX INTERN
Are you an Accounting, Finance, or Taxation student looking for valuable hands-on experience?
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Responsible for overall general day-to-day office administrative duties including data entry, filing, reception duties, document management and information channelling
Maintain office inventory & supplies
Attend to and prepare internal and external correspondences including memos, letters, notices, reports & presentations
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