records. Responsible for processing daily transactions, managing accounts payable and receivable. Assist
improve OUTsurance, Netstar sales on cash transactions. Managing branch leads Manage stock levels Manage
sure prompt and accurate cash flow and transaction management of client flow instructions
technical, and legal management of all PPP transactions. Manage and retain solid internal and external stakeholder
technical, and legal management of all PPP transactions. Manage and retain solid internal and external stakeholder
with corporate accounting, property, and transaction management teams to ensure cohesiveness. Responsibilities
all financial transactions are concluded by executing on financial month end close • Manage the billing accuracy and completeness of intercompany transactions • Management of inter-company balances and transaction
internals (Classloading, Memory Management, Transaction management etc) Excellent knowledge of Relational
primarily focus on processing financial transactions, managing accounts payable and receivable, preparing
month variance reporting. • Intercompany transaction management, including maintaining and issuing intercompany