efficiently.
processes, transactions, web services as well as general queries regarding their client’s investments. Our
for petty cash balances and reviews. • Perform general ledger reconciliations including reconciliation
transactions are correctly captured and reflected in the general ledger accounts Ensure that assess register is provisions AUDITS: Assist in preparing and supplying general ledgers to accountants / auditors Assist in obtaining
correctly captured
transactions are correctly captured and reflected in the general ledger accounts Ensure that assess register is provisions AUDITS: Assist in preparing and supplying general ledgers to accountants / auditors Assist in obtaining
from a financial management perspective.General Financial:
business development e.g. tenders; and to assist with general project management as may be required. Technical
business development e.g. tenders; and to assist with general project management as may be required. Technical
management from a financial management perspective. General Financial: Provide financial analysis and support