gement of inter-company transactions, trade and loan accounts
ing and maintaining Journals
asury function management
/>Treasury function management
Intercompany loans reconciliations management
Exports accounting
li>Maintaining the fixed asset register
li>Maintaining the fixed asset register
reconciliations Maintaining the fixed asset register Loan and floorplan finance reconciliations Month-end
budget prep for total staff ctc
balances. Prepare intercompany and related party loan reconciliations. Assist senior management with ad-hoc
within the deadline timeframe