events
for events Check / post cash book/s processed by Cashbook Clerk/s Code and approve cheque requisitions
transactions Preparation of Reconciliations – all B/S accounts Assisting with Creditors payments / reconciliations
transactions Preparation of Reconciliations - all B/S accounts Assisting with Creditors payments / reconciliations
and update payroll systems Submission of the EMP501's Submission of Workman's Compensation Attend to all
Degree or similar relevant financial qualification/s.
Valid drivers license and own vehicle.
Strong
Completion of monthly EMP201 and bi-annual EMP501's. UIF Declarations. Manage leave records and administration
Relations/Industrial Relations Broad and specific understanding of S. A. Labour Relation Act , B.C.E. Act and Collective
explained to clients and sales closed. Best Product(s) identified and proposed to client Premiums calculated
to clients and sales closed.