motivated entrepreneurs to join their dynamic sales force. We will assist you in setting up your financial
processing of client information cheques, receipts, sales invoices, purchase invoices • Perform bank reconciliations etc. • Process journal entries e.g. new instalment sale agreements, interest on borrowings, provisions,
the need arises. Agency Sales and Commission Receivables: Calculate Agency sales and claiming commission
trial balance Checking and authorising relevant sales agency and entity expenses, ensuring compliance compliance with policy and procedures Preparation of sales agency and other entities monthly management accounts
Prepare files for the new month including paraffin, sales, and stock walk Obtain bi-annual stock-take results schedule for approval Review various reports including sales, diesel, debtors, fuel usage, insurance, and more management, exec, and board reports E-mail landlord sales turnover reports Oversee work for allocated junior
relationships. Manage day to day operations ( stock, staff, sales, service) and financial performance of the store
relationships. Manage day to day operations ( stock, staff, sales, service) and financial performance of the store
including VAT and intermediary reports Produce sales reports for clients Bank reconciliations & cash
auditing, banking, financial accounting and/or sales and marketing will be advantageous. Build and maintain
auditing, banking, financial accounting and/or sales and marketing will be advantageous. Build and maintain