commission system Monitor and reconcile the daily bank statements for the Company relating to commission provider commission statements relative to the daily bank deposits received Create and process manual commission
end-to-end accounting function for various clients. Bank reconciliations. Other balance sheet reconciliations
Statements Collection of outstanding debt Compile Bank reconciliations Assist with improving and drafting
Statements Collection of outstanding debt Compile Bank reconciliations Assist with improving and drafting
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
Insurance)
payroll data
with year-end audit queries Assist in training of staff from various backgrounds and skill levels Capex
from Asset managers vs what is received from the bank.