and regulations. Budgeting. Financial Reporting, General Ledger Management, Statutory Compliance, Fixed
fund, bad debt, incentives, overdraft facility, general provisions, income statement reconciliations, and aspects of the overdraft facility. Administer general provisions. Other Responsibilities: Conduct income
invoices. Prepares journal entries and reconciles general ledger and subsidiary accounts. Completes bank
Group.
market practice acumen.