integrations and migrations of their financial web applications. You will also be responsible in assisting clients
companies; Prepare financial statements in line with applicable accounting standards; Assist managers with various
companies; Prepare financial statements in line with applicable accounting standards; Assist managers with various
differences. Processing of settlement discount where applicable. Capturing supplier invoices to be paid. Reconciling
Working capital management: Debtors: managing of applicable rebates, discounts and overdues Creditors: Ensuring
Owners with queries and Trustees/Excom on matters applicable to scheme Liaise where necessary between Con
Owners with queries and Trustees/Excom on matters applicable to scheme Liaise where necessary between Con
certificates. Maintaining Asset Registers where applicable. Maintenance and Repair Services: Receipt of