Submission/Invoice, Tax Returns/Reconciliations of bank accounts, budgets and forecasts and IFRS through
responsibility for balance sheet recons, processing bank statements, inter-company account s, and general
decision-making. Cash Flow Management: Oversee banking operations, monitor cash flow, and reconcile transactions
submission/invoice, tax returns/reconciliations of bank accounts, budgets and forecasts and IFRS through
responsibility for balance sheet recons, processing bank statements, intercompany accountants, and general
pricing, design, and capital modeling. Support the Head of Actuarial Function/Appointed Actuary. Prepare
pricing, design, and capital modeling. Support the Head of Actuarial Function/Appointed Actuary. Prepare
services to various departments. Reporting to the Head of Corporate Actuarial, you will engage in a range
services to various departments. Reporting to the Head of Corporate Actuarial, you will engage in a range
monthly reports. Assist in the administration of bank applications, KYCs, and other administrative tasks