- Set key financial performance indicators for business and support units
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- Produce bank's monthly performance monitoring reports based on agreed financial and operating key performance indicators across businesses and functions.
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- Periodically review and evaluate performance and propose corrective actions.
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- Ensure effectiveness of accounting systems to provide accurate and timely management information.
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- Provide accurate and timely external financial reporting, ensuring statutory compliance and best practice disclosure
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- Improve quality of internal financial dispute including accounting policy, reconciliation, internal audit and management reporting
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- Support execution of bank's strategy for M & A, divestiture, strategic investments and new business ventures.
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- Support Managing Director in managing relationships with external constituents (investors, auditors, tax and accounting advisors, regulators, credit rating agencies and stock exchanges)
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- Plan tax strategy for the bank, ensure tax compliance, minimize disallowances and speed up recovery of tax refunds
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- Co-ordinate capital issues timing and execution for the Bank
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