stores) Investigating and resolving all unknown bank entries Daily Reconciliation of Integrated EFT transactions Experience: Matric 2 years' experience in a finance/admin environment Have reconciliation experience - essential stores) Investigating and resolving all unknown bank entries Daily Reconciliation of Integrated EFT transactions Experience: Matric 2 years' experience in a finance/admin environment Have reconciliation experience - essential
stores) Investigating and resolving all unknown bank entries Daily Reconciliation of Integrated EFT transactions Experience: Matric 2 years' experience in a finance/admin environment Have reconciliation experience - essential stores) Investigating and resolving all unknown bank entries Daily Reconciliation of Integrated EFT transactions Experience: Matric 2 years' experience in a finance/admin environment Have reconciliation experience - essential
Responsibilities: Ensure that all Vendor Master data is correctly updated and Landlords receive all remittance remittance advices; Update and align Store Master data with store trading status and utility information; required systems; Ensure that all Vendor Master data is correctly updated and Landlords receive all remittance remittance advices; Update and align Store Master data with store trading status and utility information; Team Manager: Utilities and Rentals or the Lease Admin Team; Complete all processes and activities in line
Responsibilities: Ensure that all Vendor Master data is correctly updated and Landlords receive all remittance remittance advices; Update and align Store Master data with store trading status and utility information; required systems; Ensure that all Vendor Master data is correctly updated and Landlords receive all remittance remittance advices; Update and align Store Master data with store trading status and utility information; Team Manager: Utilities and Rentals or the Lease Admin Team; Complete all processes and activities in line
changes in VAT liabilities; Review VAT rates on entry to a country and the required supporting documents; changes in VAT liabilities; Review VAT rates on entry to a country and the required supporting documents;
changes in VAT liabilities; Review VAT rates on entry to a country and the required supporting documents; changes in VAT liabilities; Review VAT rates on entry to a country and the required supporting documents;
and evaluate the quality of AP merchandise master data to ensure accuracy in payment processing; Conduct and evaluate the quality of AP merchandise master data to ensure accuracy in payment processing; Conduct
and evaluate the quality of AP merchandise master data to ensure accuracy in payment processing; Conduct and evaluate the quality of AP merchandise master data to ensure accuracy in payment processing; Conduct