& support with annual audits Maintaining Fixed Asset Register, Manage the cashbook and payment process
& support with annual audits Maintaining Fixed Asset Register, Manage the cashbook and payment process
bank, petty cash and cash flow forecasts); Fixed asset acquisition, disposal, and write-offs; Payroll
petty cash and cash flow forecasts);
Maintaining three separate Cash Books Maintaining Fixed Asset Register Authorization and payment of Creditors
income statement reconciliations Maintaining of fixed asset register and shareholder loan schedules Perform
analysis, driving month-end (OPEX, accruals, fixed asset register, FX movements), driving efficiencies
income statement reconciliations Maintaining of fixed asset register and shareholder loan schedules Perform
usage, administration, and controls Maintain the Fixed Asset Register and assist with audit preparation Skills
breached.