reports such as balance sheets, income statements, and cash flow statements. Record Maintenance : Maintaining
accurate management accounts, variance reporting, cash flow forecasts as well as finalization of audited
accurate management accounts, variance reporting, cash flow forecasts as well as finalization of audited
are receipted by stores timeously. Reconciling of cash banked by store to daybooks daily and follow-up
planning: initial balance sheet, income statement, cash flow and bottom line. Conduct appraisals of tangible
financial statements - Compilation and sign off. Cash-flows and budgets prepared and reviewed, and commentary
elements. Understanding and implementation of security and data protection. Analysing documentation and
Weekly follow ups Opening and updating files for secured moves Attend job visits Completion of tender requests
Weekly follow ups Opening and updating files for secured moves Attend job visits Completion of tender requests
Weekly follow ups Opening and updating files for secured moves Attend job visits Completion of tender requests