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- Payments are strictly commission based
- Guaranteed weekly payments
- Bonuses
nt of multiple entities
the processing of supplier / vendor invoices and payment transactions, and preparing relevant reports for reports regarding cash flow; ensuring correct payments are made in a timely manner
Manages and ledger
Engage with vendors to communicate payment cycles and terms.
Ensure vendor reconciliations suppliers are made aware of our
Payment cycles;
Liaise with BU manager regarding
debtors and debtors reconciliation for outstanding payments related to services completed for Cpt & Dbn of deposits for installations Following up on payment in order for the job to be started Final Invoices Extensive Client liaison and follow up on outstanding payments for installations for Dbn & Cpt Ensure job client upon completion of job and receipt of final payment Manage Insurance Claims for their three branches
debtors and debtors reconciliation for outstanding payments related to services completed for Cpt & Dbn of deposits for installations Following up on payment in order for the job to be started Final Invoices Extensive Client liaison and follow up on outstanding payments for installations for Dbn & Cpt Ensure job client upon completion of job and receipt of final payment Manage Insurance Claims for their three branches
Planning and Organising skills Experience in foreign payments Strong financial acumen Roles and responsibilities: contracts and monitor their progress. Processing payments and invoices. Keeping contract files and using Manage marine insurance; Advance/terminate forex payments Amend unit rate on purchase orders to reflect
Planning and Organising skills Experience in foreign payments Strong financial acumen Roles and responsibilities: contracts and monitor their progress. Processing payments and invoices. Keeping contract files and using Manage marine insurance; Advance/terminate forex payments Amend unit rate on purchase orders to reflect
transactions. Process debtor orders and allocate payments and deposits. Prepare and submit VAT calculations and authorise sundry recons for payment. Review and authorise payments as and when required. Prepare accurate
transactions.
Reconcile monthly supplier accounts and prepare payment lists for approval General office admin Relevant