database Considering both back-end organisation of data and front-end accessibility for end-users Refining design so that it can be translated into a specific data model Further refining the physical design to meet documentation, including data standards, procedures and definitions for the data dictionary (metadata) Controlling
balance sheets and income statement items Invoicing clients and extracting statements monthly Review all junior
profitability analysis for reporting Daily cash book capturing and reconciling Preparation of all financial reports
reference numbers •Capturing CHASE Entries •Ensure Updates on Profit are captured •Access Control Procedures
reference numbers •Capturing CHASE Entries •Ensure Updates on Profit are captured •Access Control Procedures
reports and information. Developing cash flow statements. Projecting profit. Managing credit. Providing
amounts. Filing of creditor reconciliations and statements. Communicate clearly with Suppliers and stores