Verify customer payments. Assist with liaising with banks for queries. Assist in budget preparation. Prepare audit files, compile and review reconciliations. Assist auditors with queries. Arrange foreign exchange travel purposes. Compare charges between banks. Assist with tenant queries. Handle cash to master transactions
to Management Assist with inventory control Assisting with Supplier Evaluations Assist with project budget
to Management Assist with inventory control Assisting with Supplier Evaluations Assist with project budget