journals (including ensuring Group intercompany loans are in balance) Review businesses tax schedules
reconciliations
supplier reconciliations Preparation of intercompany loans/suppliers/customers reconciliations and process
journals (including ensuring Group intercompany loans are in balance) Group cashflow bi-weekly review
capitalisation and coordinate on dividend payments and loans. Manage tax-related financial statement items and
capitalisation and coordinate on dividend payments and loans. Manage tax-related financial statement items and