payables, accounts receivables, reconciliation of bank statements, internal audits, and other financial
payables, accounts receivables, reconciliation of bank statements, internal audits, and other financial
payables, accounts receivables, reconciliation of bank statements, internal audits, and other financial
payables, accounts receivables, reconciliation of bank statements, internal audits, and other financial
experience towards investors, project developers and banks. Proven experience in business development. Knowledge
Where required assist with the servicing of filter banks and back flush controllers Assist with onsite Drip
Perform daily, weekly and monthly reconciliations of Bank accounts. Charge expenses to accounts and cost centers
office order is received Ensure that the money is banked before the hire occurs, for all cash clients Resolve