in all areas. Other working capital management - cash (hedging of FX); AP; AR. Maintain strong banking
can grow fast with the company. Monthly accounting Cash flow Payments Budget Invoices Suppliers Payroll
with client LPAs for fund administration. Handle cash/banking operations effectively. Manage investor
Third party rental pool management to ensure healthy cash flows, this includes reaching out and negotiating
victories together. Responsibilities : ● Monthly cash book processing, reconcile accounting transactions