monthly bank account reconciliations Preparing and managing ad hoc EFT payments Preparing income tax schedules
· GL recons for all balance sheet accounts · Managing logbooks for company fleet/vehicles · Monthly
case scenarios, defining test data requirements, managing test case creation, devising contingencies plans
patients' rights at all times Prevents, reports and manages medico-legal risks Conducts comprehensive patient
reconciliations.
attention to detail and accuracy in financial data management. For further details, please visit https://www
all third party terminations and additions
Managing, preparation and submission of all third party
cards and petty cash claims. Assist the Financial Manager and Accountants with ad hoc tasks as may be required
attention to detail and accuracy in financial data management. For further details, please visit https://www
Elizabeth. Duties: Liaise with Technical Support Manager to review project plans and drawings and ensure