results, budgets and forecasts. Profit and Loss, Cash flow and KPI management. Budgeting and forecasting
documentation is provided to auditors on request · Petty cash – control and reconciliation MINIMUM REQUIRMENTS:
against budget
• Writing up and reconciling cash book
• Responsible for preparation of monthly
and invoicing. Submit monthly cost reports. Manage cash flow. Pro-active procurement scheduling. Orders
and invoicing. Submit monthly cost reports. Manage cash flow. Pro-active procurement scheduling. Orders