Paul Wambugu Githuku
Managing Director
Paul Wambugu Githuku is a dedicated and results-driven Tax professional with a focus on Tax, Auditing, Accounting, and Finance. He currently serves as the Managing Director at Seal Associates, where he also holds the position of Chief Financial Officer (CFO). In his role as CFO, he oversees critical financial functions that play a pivotal role in the organization's success.
Strategic Financial Planning: Developing and implementing financial strategies that align with the company's goals and drive growth.
Financial Reporting: Ensuring accurate and timely preparation of financial statements, management reports, and other financial documents.
Budgeting and Resource Allocation: Managing budget processes, allocating resources efficiently, and monitoring performance against budgets.
Risk Management: Identifying financial risks, evaluating their impact, and implementing strategies to mitigate them.
Tax Management: Handling tax compliance, including accurate and timely filing of tax returns and adherence to tax regulations.
Cash Flow Management: Monitoring and managing cash flow to ensure optimal liquidity for daily operations and growth initiatives.
Auditing and Internal Controls: Overseeing internal and external audits, implementing robust internal controls, and ensuring compliance with financial regulations.
Financial Analysis: Conducting thorough analysis of financial data to provide insights and recommendations for informed decision-making.
Stakeholder Communication: Collaborating with internal and external stakeholders, including investors, auditors, and regulatory bodies.
As CFO, Paul Githuku is responsible for:
Strategic Financial Planning: Developing and implementing financial strategies that align with the company's goals and drive growth.
Financial Reporting: Ensuring accurate and timely preparation of financial statements, management reports, and other financial documents.
Budgeting and Resource Allocation: Managing budget processes, allocating resources efficiently, and monitoring performance against budgets.
Risk Management: Identifying financial risks, evaluating their impact, and implementing strategies to mitigate them.
Tax Management: Handling tax compliance, including accurate and timely filing of tax returns and adherence to tax regulations.
Cash Flow Management: Monitoring and managing cash flow to ensure optimal liquidity for daily operations and growth initiatives.
Auditing and Internal Controls: Overseeing internal and external audits, implementing robust internal controls, and ensuring compliance with financial regulations.
Financial Analysis: Conducting thorough analysis of financial data to provide insights and recommendations for informed decision-making.
Stakeholder Communication: Collaborating with internal and external stakeholders, including investors, auditors, and regulatory bodies.