Timely reporting of inconsistencies. Reporting: Assist in preparing the weekly cash flow reports and financial financial forecasts. General Finance: Assist with the monthend closing process and preparing the monthly communications. General office administration. Assist with vendor registrations and client contracts
Planning & Execution of Field work:
Audit Planning & Execution of Field work : Assist in identifying, assess and document significant ensure the key areas are adequately addressed. Assist in documenting a business function description Conduct audits in line with audit methodologies. Assist in identifying and/or updating risks specific to
Timely reporting of inconsistencies. Reporting: Assist in preparing the weekly cash flow reports and financial financial forecasts. General Finance : Assist with the month-end closing process and preparing the monthly communications. General office administration. Assist with vendor registrations and client contracts
the member firm of Deloitte Touche Tohmatsu, and services are provided by Deloitte & Touche and its professional services firms, providing audit, tax, consulting, and financial advisory services through nearly
the member firm of Deloitte Touche Tohmatsu, and services are provided by Deloitte & Touche and its professional services firms, providing audit, tax, consulting, and financial advisory services through nearly
proceeds, and validate reconciliations.
Additionally, you will perform staff reconciliations, assist with pricing/profitability requests, and respond reconciliations, including payroll declarations Assisting with pricing/profitability requests Responding
an organizational budget for the following year Assist budget holders with drafting of budgets Monitor of over and under expenditure on a monthly basis Assist the project leads to draft cash-flow forecasts
maintain efficient operations, provide a high-quality service and mitigate operational risk. Partner the manager Pre-publication market engagements, On request assist with research and provide inputs to Manager to complexity and impact on client holdings/positions. Assist, support and verify work performed by CA1 where