loaded correctly and on time. Prepare and manage cash flows. Handle monthly statement reconciliations
excellence. Conduct daily reconciliations of Till Cash Ups for all payment tender types, ensuring accuracy
reports, including income statements, balance sheets, cash flow statements, forecasts and produce costs.
transactions accurately and efficiently on Avimark. Handle cash, credit card, and other forms of payment securely
transactions accurately and efficiently on Avimark. Handle cash, credit card, and other forms of payment securely
activities, including budgeting, forecasting, and cash flow management. Prepare financial reports, statements
checking on client onboard process. Checking of transition documentation to ensure completeness and accuracy
appropriate valuation methodologies, such as discounted cash flow, comparable company analysis and precedent
appropriate valuation methodologies, such as discounted cash flow, comparable company analysis and precedent