and multi-disciplinary teams to ensure a smooth transition that complies with internal and regulatory requirements business exit strategies or similar high-stakes transitions. Proven experience with IT integration projects
documentation, including creditor bundles, cash books, petty cash, and month-end records.
- File journals
Preparing cash management daily bank balance sheet Preparing the weekly stats Preparing Cash management
Payable, Cashbooks, Fixed Asset Registers, and Petty Cash. Please note that this is a maternity cover, however and submitted for payment timeously. To process cash book/ inventory and other ad hoc monthly Journals Creditors / Accounts Payable. Cashbook Management. Petty Cash. Fixed Asset Registers. Qualifications and Experience:
Payable, Cashbooks, Fixed Asset Registers, and Petty Cash. Please note that this is a maternity cover, however and submitted for payment timeously. To process cash book/ inventory and other ad hoc monthly Journals Creditors / Accounts Payable. Cashbook Management. Petty Cash. Fixed Asset Registers. Qualifications and Experience:
escalate project risks Render support in business transition and helping to establish change (includes transfer
escalate project risks Render support in business transition and helping to establish change (includes transfer
up to and including the Balance Sheet, Income and Cash Flow Statements, with supporting working papers in this regard. Maintain the Programme budget and cash flow projections, including a monthly expenditure
up to and including the Balance Sheet, Income and Cash Flow Statements, with supporting working papers in this regard. Maintain the Programme budget and cash flow projections, including a monthly expenditure
year-end audit for specific entities Preparing of cash management daily bank balance sheet Preparing of of the weekly stats for Executives Preparing Cash management interest calculation Preparing the motor