function management Intercompany loans reconciliations management Exports accounting and FEC function Insurance Management of Balance sheet reconciliations. Monthly preparation and analysis of management results Management
payable and receivable, bank reconciliation, payroll and cash management and inventory monitoring. Oversse
Authorisation of reversals Banking reconciliation checking and approval Manage and monitor controllable expenses
tasks. Complete daily stock reconciliations and report variances to management. Handle purchase orders,
gainshare schedules monthly Reconciliation of Balance Sheet accounts Managing Profit Estimate File Update