Reference: CPT002516-AK-2 PRINCIPAL OBJECTIVE OF POSITION: To manage the company's regional operations by driving revenue, building relationships, expanding the business and managing the portfolio health, loan, asset quality and compliance. Contribute to treasury management by complying with funder
processes and address audit findings. Manage the availability of cash for working capital purposes Monitor budgets to obtain (board) approval. Ensure fund availability for salaries and wages. Complete bank account
processes and address audit findings. Manage the availability of cash for working capital purposes Monitor budgets to obtain (board) approval. Ensure fund availability for salaries and wages. Complete bank account
cashbook clerk is to manage the cash flow and cash availability for the organisation Responsibilities: Ensure
cashbook clerk is to manage the cash flow and cash availability for the organisation Responsibilities: Ensure
opportunities by conducting research, identifying available stock, and assessing market trends in line with