not limited to: Bank reconciliation VAT submission Cash flow management Fixed asset management Budgeting
compiling quarterly board reports pertaining to cash and facility utilization.
include: Tax Year end procedures HR & Salaries Cash flow VAT/WCA/PAYE Bookkeeping
Equities, Fixed Income, Bonds, Listed Property & Cash Instruments as well as Local and Foreign Investment
Equities, Fixed Income, Bonds, Listed Property & Cash Instruments as well as Local and Foreign Investment