and documents. Regularly audit the compliance status of customer trade account applications. Prepare regularly e.g. the compliance status of customer trade account applications, Letters of Demand, Credit Insurance systems as required. Vetting and completion of Trade Account Applications. Liaising with customers to obtain in maintaining the compliance status of trade account applications continuously. Assist with credit limit handover to attorneys. Assist with creating customer accounts, and maintaining, and entering information on
(Dimensional targets/Functional/Stability/BIW audits/Final Vehicle audit/DRR/Flow-out) fitment trials, problem problem detections and resolution Investigating build/audit related problems (root cause analysis, establishment
manage supply and demand. Conduct regular stock audits and cycle counts to minimize discrepancies. Compliance frozen products. Conduct regular inspections and audits to ensure adherence to safety and quality standards documentation is up-to-date and accessible for audits and inspections. Technology and Systems: Utilize
manage supply and demand. Conduct regular stock audits and cycle counts to minimize discrepancies. Compliance frozen products. Conduct regular inspections and audits to ensure adherence to safety and quality standards documentation is up-to-date and accessible for audits and inspections. Technology and Systems: Utilize
Reporting Research Results Data Entry Skills Accounting Attention to Detail Confidentiality Thoroughness records of financial transactions by establishing accounts; posting transactions; ensure legal requirements Develops system to account for financial transactions by establishing a chart of accounts; defining bookkeeping subsidiary accounts by verifying, allocating, and posting transactions. Balances subsidiary accounts by reconciling Maintains general ledger by transferring subsidiary account summaries. Balances general ledger by preparing
Reporting Research Results Data Entry Skills Accounting Attention to Detail Confidentiality Thoroughness records of financial transactions by establishing accounts; posting transactions; ensure legal requirements Develops system to account for financial transactions by establishing a chart of accounts; defining bookkeeping subsidiary accounts by verifying, allocating, and posting transactions. Balances subsidiary accounts by reconciling Maintains general ledger by transferring subsidiary account summaries. Balances general ledger by preparing
Roles and Responsibilities: - Working 4 small accounts - Creditors - Daily Sales - Bank Recon - Loading Loading Payments - COD Requirements: - Accounting knowledge - Bookkeeping Qualification
Roles and Responsibilities: - Working 4 small accounts - Creditors - Daily Sales - Bank Recon - Loading Loading Payments - COD Requirements: - Accounting knowledge - Bookkeeping Qualification
Receptionist when necessary. Essential Skills: Accounting Software Skills. Communication skills. Administrative Qualifications: Grade 12 /Matric. Tertiary qualification in Accounting / Finance. Please consider your application unsuccessful
Receptionist when necessary. Essential Skills: Accounting Software Skills. Communication skills. Administrative Qualifications: Grade 12 /Matric. Tertiary qualification in Accounting / Finance. Please consider your application unsuccessful