Logistix Solution is looking for a Junior Customs Entry Clerk to join their dynamic team in Fourways. NB: available for correct customs clearance and submitting entries to Customs via EDI and monitoring till released errors. Quality checking of Bill of entries and ensure that entries are cross checked by another Operational Forwarding Experience: 3-5 years' experience as an entry clerk Good mathematical and analytical skill sets
Logistix Solution is looking for a Junior Customs Entry Clerk to join their dynamic team in Fourways. NB: available for correct customs clearance and submitting entries to Customs via EDI and monitoring till released errors. Quality checking of Bill of entries and ensure that entries are cross checked by another Operational Forwarding Experience: 3-5 years' experience as an entry clerk Good mathematical and analytical skill sets
within budget and timelines and to the correct level of quality and performance to enable client services spurs, and PoP sites entries, MMRs. Develop Policies, Procedures, Processes, Standards, Specifications and
include:
Prime Books of entry
Financial reporting Bank and Cash: • Capturing of bank statements on a daily basis (all bank accounts including including call accounts) • Reconciliation of bank accounts on a daily basis • Reconciliation of petty cash The balance sheet pack includes only the high level reconciliations for: • Reconciliation of Fixed Assets
ank and Cash: • Capturing of bank statements on a daily basis (all bank accounts including call accounts) accounts) • Reconciliation of bank accounts on a daily basis • Reconciliation of petty cash accounts Fixed The balance sheet pack includes only the high level reconciliations for: • Reconciliation of Fixed Assets
to hear from you Bank and Cash: Capturing of bank statements on a daily basis (all bank accounts including including call accounts) Reconciliation of bank accounts on a daily basis Reconciliation of petty cash accounts The balance sheet pack includes only the high level reconciliations for: Reconciliation of Fixed Assets
customers who paid there invoices according to the bank statements and cash. Verify any overdue accounts computerized systems including Excel, JDE, and Banking System. Ability to thrive in a fast-paced, high-pressure fundamental accounting principles. Knowledge of electronic bank reconciliation processes. Familiarity with Financial Prior experience with Financial systems in the Banking sector. Exposure to compliance and regulatory reporting
to hear from you Bank and Cash: Capturing of bank statements on a daily basis (all bank accounts including including call accounts) Reconciliation of bank accounts on a daily basis Reconciliation of petty cash accounts The balance sheet pack includes only the high level reconciliations for: Reconciliation of Fixed Assets
reconciliations for supplier/customer accounts and bank transactions.