stationery / office refreshments for all offices in the Company Monitor the central e-mail accounts Receive, validate and reconcile the daily bank statements for the Company relating to commission / fee deposits received Financial Planning Partners who have left the company Preparation of month end reconciliation packs for
stationery / office refreshments for all offices in the Company Monitor the central e-mail accounts Receive, validate and reconcile the daily bank statements for the Company relating to commission / fee deposits received Financial Planning Partners who have left the company Preparation of month end reconciliation packs for