mid- and month-end. Prepare balance sheet recons. Assist with annual financial statements/notes for Group required. Prepare cash flow analysis and projections. Assist with audit year-end requirements. Prepare company
process; Liaise with internal and external auditors; Assist with internal audit of the groups entities; Review of limits; Work with Investor Relations Head to assist on investor queries; Manage ad hoc projects. Key
Reconcile bank statements and credit card transactions. Assist with month-end close procedures. Prepare financial
Reconcile bank statements and credit card transactions. Assist with month-end close procedures. Prepare financial
issues timeously and effectively.
all accounts where ODD could not be concluded To assist Branches with ODD queries Administration Address/branch
all accounts where ODD could not be concluded To assist Branches with ODD queries Administration Address/branch
conduct verification checks Administration Address/assist Branch FICA queries Attends to adhoc administration
conduct verification checks Administration Address/assist Branch FICA queries Attends to adhoc administration
hardware, software, and network issues. They will also assist with system maintenance and upgrades, perform regular