flow forecasting process.
Prepare various general ledger reconciliations.
Perform risk assessment Package and reconciling the sub-module to the general ledger.
You must have the ability to work
generate additional sales.
cash flow forecasting process. Prepare various general ledger reconciliations. Perform risk assessment Package and reconciling the sub-module to the general ledger. You must have the ability to work within
collections.
company's cash flow effectively. General Administrative Duties : Performing general administrative tasks related
timely and precise financial reporting
Handle general administration tasks effectively to support team
ed Testing
credit notes, monthly recons of petty cash and general management of accounts.
customer invoices and following up of orders and general admin.
& Company Description: Although investing is generally described as putting money into financial schemes