follow up on payments - Banking - recon bank accounts - keep financial records on assets and insurance
audit plan. Prepare and review year-end reporting accounting and Tax Packs. Manage banking systems (users transfers (creditors and wages). Monitor daily cash positions and cash flows to ensure settlement and maximise
reviews (increase; bonus) Training & Development: Assist and ensure training needs and gaps are identified
reviews (increase; bonus) Training & Development: Assist and ensure training needs and gaps are identified