receivable, cashbook and fixed asset transactions Assisting with daily processing and preparation of journals reconciliations Assisting in maintenance of budgets Assisting with Insurance administration Assisting with Internal External Audits Assisting with the compilation and submission of statutory returns Assisting with ad-hoc
treasury journals and month end reconciliations Assist with banking administration, maintain and update when necessary Deal and capture foreign payments Assist in the administration and reconciliation of banks divisional heads Assisting with the receipt and coding of invoices and journal entries Assisting with ad hoc
products and services Designing financial strategies Assisting clients to make informed decisions Reviewing and
products and services Designing financial strategies Assisting clients to make informed decisions Reviewing and
all learners enrolled in allocated courses and assisting in the compilation of learners Portfolios of Evidence