Authorisation of all payments and beneficiaries Review reconciliations of bank accounts Performing ad-hoc financial Sheet Level Review and Approve Balance Sheet Reconciliations Responsible for the Reviewing, Finalizing and Queries and communication Responsible for Annual Reconciliations, submission and payment of Workman's Compensation
Authorisation of all payments and beneficiaries Review reconciliations of bank accounts Performing ad-hoc financial Sheet Level Review and Approve Balance Sheet Reconciliations Responsible for the Reviewing, Finalizing and Queries and communication Responsible for Annual Reconciliations, submission and payment of Workman's Compensation
processing of lease payments, adjustments, and reconciliations. Monitor lease terms and conditions to ensure
processing of lease payments, adjustments, and reconciliations. Monitor lease terms and conditions to ensure
accounts Sorting and filing of financial records Reconciliations and Monthly Recoveries Generating of Invoices
accounts Sorting and filing of financial records Reconciliations and Monthly Recoveries Generating of Invoices