Requirements: Allocate payments Manage customer accounts: Debt collecting Reconciliations Resolve queries Account
reconciliations and product development cost calculations. Review of subsidiaries' management accounts. Tax calculations accounting transactions and year-end reporting packs. Review inter-group transactions and loan accounts. Overseeing
reconciliations and product development cost calculations Reviewing subsidiaries' management accounts Tax calculations accounting transactions and year-end reporting packs Reviewing inter-group transactions and loan accounts Overseeing
evaluate employee performance Conduct performance reviews and provide feedback to employees Identify performance
evaluate employee performance Conduct performance reviews and provide feedback to employees Identify performance