accurate management accounts, variance reporting, cash flow forecasts as well as finalization of audited
accurate management accounts, variance reporting, cash flow forecasts as well as finalization of audited
are receipted by stores timeously. Reconciling of cash banked by store to daybooks daily and follow-up
Responsible for assisting with forecasting the cash flow for the business on a weekly and monthly basis
Responsible for assisting with forecasting the cash flow for the business on a weekly and monthly basis