settlement.
settlement. Validate all settlements daily, investigating and resolving exceptions with the Front Office settlement. Perform daily cash reconciliations, investigating and resolving any discrepancies. Verify that daily script and position reconciliations, investigating and resolving any discrepancies. Manage operational
settlement. Validate all settlements daily, investigating and resolving exceptions with the Front Office settlement. Perform daily cash reconciliations, investigating and resolving any discrepancies. Verify that daily script and position reconciliations, investigating and resolving any discrepancies. Manage operational
finance reports and statistical data.
interpret finance reports and statistical data. Investigate and action financial variances (budget/forecast) Compile balance sheet account reconciliation. Investigate and action balance sheet account variances. Prepare review holding. Oversee stock takes. Analyses and investigates stock count variances. Maintain the integrity
requires proactive management of credit note investigations, compliance with tax regulations, and fostering validated against job estimates.
Investigate discrepancies between estimated and actual costs
Credit Note Investigation and Approval:
Investigate and validate reasons for
interpret finance reports and statistical data. Investigate and action financial variances (budget/forecast) review holding Oversee stock takes Analyses and investigate stock count variances Maintain the integrity
Participate in annual audit preparations. - Investigate and resolve billing and payment discrepancies