Recoveries income analysis Assisting with OAPI Official Fee Deposit Accounts reconciliation of transactions to
to clients. 1.5. Meeting financial targets set on fees billed. 1.6. Ensuring capacity tracker and performance
and apply changes to the company’s fee calculations and ensure all fee types is clearly disclose in reports
and apply changes to the company's fee calculations and ensure all fee types is clearly disclose in reports
reconciliation, and re-banking of S&T, Toll Fees as well as submissions to Payroll. Oversee and maintain