The purpose of this role is to efficiently manage the daily operations of cash collection and reporting. In order to support the school’s management of its cash flow and obligations. To also ensure the protection of company assets and reputation and additionally support the wider school that can be reasonably expected from the Finance department.
Responsibilities
Main Duties:
Specific Duties:
Reporting
Regulatory
Operational
Qualifications
Minimum Qualification
Minimum Experience
Job Specific Knowledge & Skills
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