including overseeing the monthly balance sheet, banking and reconciliations
Completion of the monthly
per TB. Take control of loading and approving all bank payments for the facility. Reconcile financial discrepancies Comply with International Financial Reporting Standards (IFRS) for financial statements. Maintains financial
or export and import industry essential
oversee billing processes. Ensure adherence to BVSA standards and manage fee structures. Effectively manage
allocation structures; Designing and implementing standard operating procedures; Asset management and payroll
allocation structures; Designing and implementing standard operating procedures; Asset management and payroll