working capital. Review cash positions, release payments, and manage cashflow reporting. Liaise with financial
daily
position daily Review and release cashbook and AP payments Fixed Asset Management Ensure accurate costing
Assist with QA batch release of Act 101 products in the absence of QA Manager and RP/Deputy RP. Review
Assist with QA batch release of Act 101 products in the absence of QA Manager and RP/Deputy RP. Review