new processes and solutions, ensuring smooth transition and adoption. Prepare and present reports on
processes and accounting regulations. Cash Management: Prepare the cash flow and liquidity forecasts to ensure
processes and accounting regulations. Cash Management: Prepare the cash flow and liquidity forecasts to ensure
is a developer or technology specialist? We pay cash for successful referrals
regards to ratios, current state of Financials, Cash Flows (Management & Audited) using point in
balance, including debtors, creditors, bank, petty cash, journals, etc. Handling of VAT. Liaison with clients
relationships to encourage repeat business. Handle cash transactions and maintain accurate records of services
relationships to encourage repeat business. Handle cash transactions and maintain accurate records of services
s/budgets of debt and finance cost plus monthly cash reporting
Financial analysis and review of
consult charge sheets to Mariaan Recon of card / cash payments – daily / weekly. Emails: Arriving early