*
Reception
duties
*
Finance
application and submission
* Follow up
financial institutions
*
Finance
data entry for commission payments
* Assist with
· Journals preparation /
accruals / month end process
· General Ledger
reconciliation's
· Payroll process (when
required)
· Managing superannuation
· Commission
reconciliation's.
· Ad hoc duties as they
arise
· General Administration
