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5.1 Attend the site handover
5.2 Prepare schedules of predicted cash flow
5.3 Prepare pro-active estimates for proposed variations for client decision-making
5.4 Attend regular site, technical and progress meetings
5.5 Adjudicate and resolve financial claims by the contractor(s)
5.6 Assist in the resolution of contractual claims by the contractor(s)
5.7 Establish and maintain a financial control system
5.8 Prepare valuation for payment certificates to be issued by the principal agent
5.9 Prepare final account(s) for the works on a progressive basis

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