Managing risk in the business unit / Distribution Centre (DC) Managing the financial aspects of contracts
Responsibilities: Manage the cash book and handle multiple bank reconciliations Oversee accounts payable, ensuring Recruitment. Manage the cash book and handle multiple bank reconciliations Oversee accounts payable, ensuring
Duties: - Responding to emails. - Dealing with calls. - Communication with clients and suppliers. - Filing
accurate allocation of all expenses and verify banking details on invoices. Match invoices with corresponding
accurate allocation of all expenses and verify banking details on invoices. Match invoices with corresponding
accurate timely manner Reconciliations: Assist with bank reconciliations and ensure descrepancies are reosvled
accurate allocation of all expenses and verify banking details on invoices.
Working with funds is "fun" right? Well, I am calling all Fund Specialists as we are recruiting a role
Working with funds is "fun" right? Well, I am calling all Fund Specialists as we are recruiting a role