Gauteng A digital bank with a strong entrepreneurial identity and a high-performance culture is looking for
captured accurately and timely. Ensure payments are allocated correctly and timely. Ensure payments in the the bank are loaded correctly and on time. Prepare and manage cash flows. Handle monthly statement reconciliations financial year with the Financial Manager. Report timely to the Financial Manager on financial matters. accurate, balanced, and sorted for all entities. Timely and accurate data capturing of Payspace information captured, loaded on relevant platforms, and filed on time. Organizational Culture Foster a culture where staff
Balance Sheet Recons. Payments for Workshop and Parts need to be allocated. Allocate payments received workshop and parts invoices and other monthly invoices). Creating order numbers for Workshop and Parts supplies Follow up on all queries. (Invoice for workshop and parts that are not processed documentation outstanding
Sheet Recons.
Procurement - Oversee pre-ordering processes and ensure timely delivery of stock. - Manage vendor relationships organizational and time management skills. - Ability to work independently and as part of a team. - Strong
to submit EE Reports. Ensure employees who form part of more than 1 store, have the correct additional 501. Attention to detail, thoroughness and first time right. High efficiency and effectiveness. Ability a fast paced, deadline driven environment. Good time management and ability to cope within a pressurized
to submit EE Reports. Ensure employees who form part of more than 1 store, have the correct additional 501. Attention to detail, thoroughness and first time right. High efficiency and effectiveness. Ability a fast paced, deadline driven environment. Good time management and ability to cope within a pressurized
this role you'll play a crucial part in ensuring accurate and timely payments and reconciliations, contributing smooth operations Track payments accurately for timely and precise financial reporting Handle general
this role you'll play a crucial part in ensuring accurate and timely payments and reconciliations, contributing smooth operations Track payments accurately for timely and precise financial reporting Handle general
benefits.