statements bi-monthly for irregularities. Run and review Open Item accounts monthly. Ensure consistent and
timely and accurate cost reports for management review. Present findings and recommendations to key stakeholders
timely and accurate cost reports for management review. Present findings and recommendations to key stakeholders
consolidations Monthly management accounts Financial review and reporting Annual financial statements IFRS
Address tax queries within deadlines. Regularly review and escalate outstanding issues. Ensure prompt
Address tax queries within deadlines. Regularly review and escalate outstanding issues. Ensure prompt
Conducting face-to-face discussions with clients to review and discuss insurance quotations. Providing clients
disbursement Prepare and monitor monthly KPIs Cluster review provisions Set up internal control systems and
disbursement Prepare and monitor monthly KPIs Cluster review provisions Set up internal control systems and
Conducting face-to-face discussions with clients to review and discuss insurance quotations. Providing clients