Qualifications:
tyre retailer is looking to employ a Store Administrator with at least 1 – 2 years' experience in a similar Retail space. He/She will be responsible for the administration of all store accounting including accounts statements, internal audits, and other financial administrative functions required to support achieving store store objectives. Additionally, the administration of employee benefits, payroll, and maintenance employee Control) Overseeing the Junior Administrator and stand in for Junior Administrator Overseeing the GOA (If applicable
/>
company is currently looking to hire a Lease Administrator - 6 months contract Minimum Requirements Accounting Accounting qualification 3-5 years Lease Administrator experience Knowledge Oracle and Microsoft Excel
Our client is currently seeking a Accounts Admin to join their finance team in Brakpan.
Duties:
currently seeking a dedicated and experienced Administrator to join their team and contribute to their continued long-term position and grow with the company. As an Administrator, you will play a crucial role in ensuring the processes. You will be responsible for a variety of administrative tasks that support our team and enhance our well-organized and presentable. Administrative Support: Provide administrative support to various departments requested. At least 2 years experience in an administrative role. Strong organizational and multitasking
to join my clients team as a Reconciliation Administrator . This position is based in Sandton and is a
clients team as a Reconciliation Administrator.
This position
Responsibilities will include dealing with international auditors (this will require a strong, mature and confident personality), arrange for traceability documents for material and suppliers and keep record of these, prepare records in spreadsheets, verify with exports, input data into relevant sys
Reference: NFR003487-CPi-1 Explore new opportunities today Our client is currently seeking a Accounts Admin to join their finance team in Brakpan. Duties: Filing stock reports on a monthly basis Preparing month-end reporting packs Preparing monthly general ledger reconciliations Completing tax packs