update all Bank Mandates Manage the company's cash management systems (including online banking and treasury processes Monitor bank accounts around group Be responsible for Group operational banking arrangements and
update all Bank Mandates Manage the company's cash management systems (including online banking and treasury processes Monitor bank accounts around group Be responsible for Group operational banking arrangements and
full accounting function for the group. Bank & Cash – bank reconciliations and cash flow projections
full accounting function for the group. Bank & Cash – bank reconciliations and cash flow projections
reconciliation and EMP201 returns Cashbook entries and bank reconciliations Prepare monthly journals General
reconciliation and EMP201 returns Cashbook entries and bank reconciliations Prepare monthly journals General
policies, IFRS, and other relevant accounting standards Responsibility for tax submission and reporting
policies, IFRS, and other relevant accounting standards Responsibility for tax submission and reporting