the following: Processing of Cash book transactions Managing petty cash Submission of VAT returns Processing
records. Responsible for processing daily transactions, managing accounts payable and receivable. Assist
outsourced accounting tasks, including transaction management and bookkeeping.
following duties: Review and approve banking transactions Manage cash flow and forecast fund requirements
following duties: Review and approve banking transactions Manage cash flow and forecast fund requirements
in assessment as well as closing of transactions (i.e. management of approved deals up to first drawdown
requirements related to any specific business transaction.
with corporate accounting, property, and transaction management teams to ensure cohesiveness. Responsibilities
ensuring the accuracy of general ledger transactions, managing debtors, creditors, and cashbook/treasury
ad hoc supplier and customer accounts / transactions Manage and process journals, and reconcile branded
for supplier/customer accounts and bank transactions. Managing team members effectively. Corresponding