petty cash, banking accounts, and monthly reporting Maintain the cash book and oversee daily bank reconciliations information from third-party salary administrators to bank account payments Assist with the reconciliation
of audit fieldwork, ensuring compliance with standards and methodologies Team Management and Supervision: members to ensure it meets the firm's quality standards Client Interaction and Relationship Management: updated on changes in accounting and auditing standards and regulations Reporting: Prepare audit reports is completed in accordance with professional standards and regulatory requirements Perform quality reviews understanding of accounting principles, auditing standards, and regulatory requirements. Eligible to register
reports to ensure they align with established Standard Operating Procedures (SOPs) and Policies Conducting (IATs) Identify and address weaknesses within the Standard Operating Processes and infrastructure of various