and timely reconciliation of bank accounts Predict cash needs and oversee cashflow as per fund policies
support for strategic planning. Monitor and manage cash flow, liquidity, and working capital to support
reconciliations Handling VAT submissions Managing cash flow effectively Administering fixed assets Consolidated
reconciliations Handling VAT submissions Managing cash flow effectively Administering fixed assets Consolidated
and timely reconciliation of bank accounts Predict cash needs and oversee cashflow as per fund policies
and timely reconciliation of bank accounts Predict cash needs and oversee cashflow as per fund policies
financial statements, including income statements and cash flow statements for individual properties and portfolios
and timely reconciliation of bank accounts Predict cash needs and oversee cashflow as per fund policies
and timely reconciliation of bank accounts Predict cash needs and oversee cashflow as per fund policies
expense reports. Responsible for disbursement of petty cash. Management of company credit card payments. Assistance