behalf of the finance director. Liaison with the banks and valuators. Gateway approvals on behalf of the
Perform daily, weekly and monthly reconciliations of Bank accounts. Charge expenses to accounts and cost centers
behalf of the finance director. Liaison with the banks and valuators. Gateway approvals on behalf of the
funding/deal making/ investment environment, business banking, venture capital environment and/or development
funding/deal making/ investment environment, business banking, venture capital environment and/or development
partners such as GIZ, DFID, USAID, World Bank, EU, etc.
Monthly processing up to trial balance Processing of bank reconciliation Preparation and submission VAT201
GP every month. Dealing with external sources – Banks, Credit Bureaus, and other 3rd party institutions
positions, including but not limited to accounting, banking, financial analysis, and investment management
Monthly processing up to trial balance Processing of bank reconciliation Preparation and submission VAT201