Responsibilities: Month End: Preparing loan account reconciliations and product development cost calculations Review
Reporting Bank funding pack creation Project reconciliations between departmental reports Viability updates
Reporting Bank funding pack creation Project reconciliations between departmental reports Viability updates
Accounting estimates and accruals Monthly reconciliations: banks, customers, suppliers, loans, assets
Accounting estimates and accruals Monthly reconciliations: banks, customers, suppliers, loans, assets
including preparation of monthly balance sheet reconciliations Preparation / Review and analysis of tax related
including preparation of monthly balance sheet reconciliations Preparation / Review and analysis of tax related
including preparation of monthly balance sheet reconciliations Preparation / Review and analysis of tax related
presentation Oversee the monthly unit and cash reconciliations Review of monthly management accounts and prepare
project costs. Undertake monthly budget reconciliations, BVARS, Journals, corrections etc. Instill