Oversee journals, balance sheet reconciliations, asset register, etc. Verify accuracy and completeness treasury for weekly cashflow management. Oversee asset management for buildings, infrastructure, equipment Line management of Bookkeepers & financial assistants. Delegate selected financial & administration
equipment, depreciation and deferred taxation and asset register maintenance Reconciliation of loan accounts Calculation and posting on interest on financial assets and liabilities Calculation of the VAT corporate
decades and handle millions of packages every year, assisting thousands of businesses and customers each day