Preparation of monthly full set of financial statements, cash flow management and budgeting
Work closely with Investment Department to perform financial forecast and budgeting
The Group operates primarily in Western Europe, North America, the Asia Pacific region, and the Middle East; with presence also in Africa.
The Group is a conglomerate of independently run bu ... More...
Customer (External / Internal) - Account Receivable
Monitoring and Reconciling Customer Aging Accounts
Contacting and following up with Customer on all outstanding Payments