accordance with company policy and procedure Manage bank account and record received payments Update fee
of funds and securities as well as the entity banking, credit and investment functions Evaluate and recommend
needed. Liaise with external stakeholders such as banks, regulators, and tax authorities. Ensure that all
to ensure allocations are done correctly • Review bank reconciliations • Monthly journals • Submit monthly
financial, and compliance audit projects; providing consulting services to the organization's management and assists in communicating the results of audit and consulting projects via written reports and oral presentations
payable/receivable, invoices, and payments. Reconcile bank statements and key General Ledger accounts. Process
the client re: updates of personal particulars/banking details. Compile tax calculations and schedules
month Permanent Leading financial accounting and consulting services company in search of a Junior Company
Benefits Committee. •Monitor that outstanding banking details for payment of approved death benefits