Financial Planning & Analysis Team plays a crucial role in the company by performing budgeting, forecasting, and analysis that supports major corporate decisions of the CFO, CEO, and the Board of Directors.
Treasury Management team is accountable for group cash management, cashflow reporting including reconciliations and maintaining of banking relationships and ensuring that payments are done in a timely manner.
Local finance departments are responsible for the accountancy of the local branch, they prepare all local tax obligations, maintain relationships with local banks and BDO for group audit and transfer pricing and provide reports to the head office.
Financial Control team plays an important role in monitoring all costs from suppliers to salaries. Important activities also include control of budget and all tax liabilities, as well as production of financial reports.