at month end Perform regular stock counts at site to ensure accurate stock Remain up tot date with IFRS
Asset pricing Cash management Investment trades Stock and cash reconciliations Financial reporting Assist
Asset pricing Cash management Investment trades Stock and cash reconciliations Financial reporting Assist
processing of monthly payment runs Process and manage stock Manage and maintain monthly audit file Skills &
processing of monthly payment runs Process and manage stock Manage and maintain monthly audit file Skills &
processing of monthly payment runs Process and manage stock Manage and maintain monthly audit file Financial
processing of monthly payment runs Process and manage stock Manage and maintain monthly audit file Financial
the NAV Prepare and perform weekly/daily cash and stock reconciliations including proper investigation of
the NAV Prepare and perform weekly/daily cash and stock reconciliations including proper investigation of
following will be included in your duty list: Tyre Stock – two accounts Monthly prepayments Prepare and capture