from Shared Service to process accounting entries Cash flow management to maintain accuracy of treasury
from Shared Service to process accounting entries Cash flow management to maintain accuracy of treasury
about FIC reporting requirements. Competent in petty cash processing and reconciliations. Readiness to handle
about FIC reporting requirements. Competent in petty cash processing and reconciliations. Readiness to handle
general ledger / trial balance Manage payments and cash flow, and review internal reports Recommend enhancements
general ledger / trial balance Manage payments and cash flow, and review internal reports Recommend enhancements
payments, and ensure the accuracy and validity of petty cash Collect stock take information from operational
payments, and ensure the accuracy and validity of petty cash Collect stock take information from operational
matters Review and approve daily cashbook and petty cash requisitions for payment Assist the Financial Manager
matters Review and approve daily cashbook and petty cash requisitions for payment Assist the Financial Manager