non-trade bank accounts Managing and assisting with audits Ability to process accurate financial records Balance
non-trade bank accounts Managing and assisting with audits Ability to process accurate financial records Balance
financial data by reconciling accounts and investigating variances. Assist in the development of annual
financial data by reconciling accounts and investigating variances. Assist in the development of annual
statements, quarterly management reports, ensure audit deliverables are met People Management: performance
statements, quarterly management reports, ensure audit deliverables are met People Management: performance
statements Collaborating with auditors to prepare audit files Generating management reports to support decision-making
statements Collaborating with auditors to prepare audit files Generating management reports to support decision-making
and expenses, as well as any monitoring and investigations of discrepancies if required Manage the flow
and expenses, as well as any monitoring and investigations of discrepancies if required Manage the flow