Recruiter in our Temporary Office Support Division. Location: Irene area, office-based Hours: Monday to Friday Competitive, to be discussed Source and recruit temporary office support staff for various clients. Build and maintain
quality assurance and compliance adherence in the offices (long- and short-term assurance, collective investments report on compliance audits at financial Adviser offices Minimum requirements: • Relevant qualification equivalent • Must be a registered and FSCA Compliance Officer, in the possession of all appropriate SAIFM Compliance / Financial Planners • Computer literate in MS Office R850 000 PA ctc Client offers Medical Aid and Pension
controller will also need to attend to general office applications with respect to the provision of routine routine procedural information KEY RESPONSIBILITIES: Cash Ensure that the banking is done daily in conjunction Manager as per the banking procedures Ensure all cash ups balance with the banking The drop safe must locked and the key kept by the Admin Controller. Cash float must be checked and all spare keys for the kept at a safe place sealed in packets in the safe. Cash floats must always balance, and the Admin Controller
controller will also need to attend to general office applications with respect to the provision of routine routine procedural information KEY RESPONSIBILITIES: Cash Ensure that the banking is done daily in conjunction Manager as per the banking procedures Ensure all cash ups balance with the banking The drop safe must locked and the key kept by the Admin Controller. Cash float must be checked and all spare keys for the kept at a safe place sealed in packets in the safe. Cash floats must always balance, and the Admin Controller
Operations records and registers. Attend to general office applications with respect to routine procedural Accountability
Cash – Responsible for banking on a daily basis, cash ups, drop safe to be be locked at all times, cash float checked and balanced.
Administration – Control in the store, do all filing procedures, cash control, petty cash, stock control, personnel and internal checked, RTS done on regular basis, spot checks on cashiers to be carried out, controlling of the change,
English
Skills required service
Duties will include:
Maintaining workshop program data, filing and petty cash control. Requirements: •Matric/ Grade 12 certificate computer literate (Microsoft Office Suite) •Good typing skills are essential •Office Management and administration
systems. Established proficiency in Microsoft 365 office suite with an emphasis on MS Excel at an Advanced Trail Balance, Income Statements, Balance Sheet and Cash Flow). SARS Tax Practitioners: VAT, PAYE and Income cashflow forecast. Maintain weekly cash bank balances Reporting weekly cash flow figures to the Financial
banking, as well as transactions integrity in Front Office and Food & Beverage, and the accuracy of the reporting on stock counts, revenue, cash floats, and petty cash will also form part of your duties.
To