payables, accounts receivables, reconciliation of bank statements, internal audits, and other financial
receivable, credit control, and petty cash. Reconcile bank and investment accounts Review monthly results and
payables, accounts receivables, reconciliation of bank statements, internal audits, and other financial
payments and beneficiaries Review reconciliations of bank accounts Performing ad-hoc financial administration
payments and beneficiaries Review reconciliations of bank accounts Performing ad-hoc financial administration
accurate timely manner Reconciliations: Assist with bank reconciliations and ensure descrepancies are reosvled
accounts receivables' data Prepare bills, invoices and bank deposits Reconcile the accounts receivable ledger
are requested and not yet paid. Reconciliation of bank attachment transactions to the claims management
Corporate Advisory or Private Equity Firm, or a Banking Institution, or an Audit Firm's corporate finance
Corporate Advisory or Private Equity Firm, or a Banking Institution, or an Audit Firm's corporate finance