appropriate documentation and approval before presenting for payment Verify entries and comparing system journals Prepare monthly management accounts and present these to management Assess the reasonability of appropriate documentation and approval before presenting for payment Verify entries and comparing system journals Prepare monthly management accounts and present these to management Assess the reasonability of
the smooth integration of new client take-on and act as a key liaison between stores and relevant departments the smooth integration of new client take-on and act as a key liaison between stores and relevant departments