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
for supplier/customer accounts and bank transactions. Managing team members effectively. Corresponding
Ensure accurate accounting for all transactions. Monitor and manage cash flow, allocate funds to various transactions. Invoice out intercompany transactions, management fees and other income. Obtain bi-annual
management accounting and foreign exchange transaction management to join their professional team .
foreign exchange transactions.
requirements related to any specific deal / transaction. Manage and enhance the levels of service and communication Growth Provide team leadership in transactions during due diligence Manage own development to enhance own
requirements related to any specific deal / transaction.
reconciliations
monthly bank reconciliations Reporting on transactions to management Queries resolution Reconcile cash sales