duties include Reconcile bank statements and credit card transactions, assist in preparing presentations
and good stakeholder relations (i.e. Banks, Management, assistants, FBPs and other Finance COEs etc). Strong
and good stakeholder relations (i.e. Banks, Management, assistants, FBPs and other Finance COEs etc). Strong
'closed' accounts on MDA for capturing by Banking/Legal. Assist with capturing batches for annual Utility
'closed' accounts on MDA for capturing by Banking/Legal. Assist with capturing batches for annual Utility
by Financial Manager Reconciliation of bank statements Assistance during the yearend audit Perform month
duties include Reconcile bank statements and credit card transactions, assist in preparing presentations
duties include Reconcile bank statements and credit card transactions, assist in preparing presentations
approval. Processing payments on the banking system for approval. Assisting debtors and creditors clerks with
Liaison with external Auditors, Bank Managers and Tax specialists Assisting in process improvement and systems