Monitor financial processes and controls as required to ensure that they are adequate and effective, making suggestions for improvements if required
Develop rigorous and timely cash flow forecasting procedures and reports: prepare the yearly Cash Flow forecast for the University and its subsidiaries
Develop and operate accounting for endowments and investments, monitoring investment performance, making proposals on change, ensuring compliance with accounting standards
Responsible for providing insight across large and complex capital budgets and the complete and accurate recording of the monthly capital expenditure