jurisdictions and currencies including, Capturing of the bank statements Monthly Journals Monthly billing Preparation packs. Review and reconciliation of Petty Cash and Credit Cards. Monthly reconciliations of the balance sheet
and currencies including,
processing accounts Credit vetting Collections Monthly statements Recons of payments, credit notes and statements
experienced Finance Controller to join their team. Perform bank reconciliations. Compile and review income statements Verify customer payments. Assist with liaising with banks for queries. Assist in budget preparation. Prepare exchange for travel purposes. Compare charges between banks. Assist with tenant queries. Handle cash to master
jurisdictions and currencies including, Capturing of the bank statements, monthly journals and monthly billing
and currencies including,