Manage the company's financial operations on a daily basis, encompassing bookkeeping, handling accounts and financial forecasts. Process payments on a daily basis. Support the preparation for annual audits
clients Managing multiple audits and supervising staff Liasing on audit matters Assisting in evaluations
efficiencies OPERATIONAL: Cash Flow Management (Daily updates, Budget vs Actual tracking, driving key
efficiencies OPERATIONAL: Cash Flow Management (Daily updates, Budget vs Actual tracking, driving key
maximum collections. Reconcile customer receipts daily and ensure accuracy of discount and rebate calculations
maximum collections. Reconcile customer receipts daily and ensure accuracy of discount and rebate calculations
you meet the qualifications listed above and are looking for a challenging and rewarding opportunity as
you meet the qualifications listed above and are looking for a challenging and rewarding opportunity as