programme for technical accounting policies and delivery of the training
Involved in key reporting
programme for technical accounting policies and delivery of the training
Involved in key reporting
programme for technical accounting policies and delivery of the training
Involved in key reporting
accounting system for accurate and timely NAV delivery
Perform weekly/daily cash and stock reconciliations
the shelf items to walk-in customers Arranging deliveries (which are given to the driver or are collected
team
team
seamless functionality and uninterrupted service delivery.
Process
InvestOne / Investran to ensure accurate and timely delivery of the Accounts / NAV
Prepare and perform
errors on work reviewed resulting in the timely delivery of the accounts / NAV
Proactively investigate
update and maintain the relevant sections in the delivery matrix to ensure all parties are aware of what
outward payments Verify/check the freight and delivery costs. Verify supplier costs. Verify customer checking budgets Create journals/sheets for freight/delivery provisions. Creating reversing journals S/sheet