the business KPIs each week/month. Reconcile the bank accounts weekly and produce cash flows for the business sub-contractors and suppliers Negotiate and liaise with bank and other service providers in terms of securing
the business KPIs each week/month. Reconcile the bank accounts weekly and produce cash flows for the business sub-contractors and suppliers Negotiate and liaise with bank and other service providers in terms of securing
renewals timeously. Assist in collecting Deposits and Bank Guarantees are in place Manage the lease compliance