Job Description
Record and reconcile Equity and Mutual Fund investments
Calculate and book Capital Gains, Dividends, and taxes
Handle bank reconciliations and daily payments
Prepare monthly management accounts
Support financing and guarantee documentation
Maintain Directors' personal financial records and tax filings.Record and reconcile Equity and Mutual Fund investments
Calculate and book Capital Gains, Dividends, and taxes
Handle bank reconciliations and daily payments
Prepare monthly management accounts
Support financing and guarantee documentation
Maintain Directors' personal financial records and tax filings.