(additions, disposals, deprecation calculation, etc.) Loan register maintenance (drawdowns, repayments, interests Monthly reconciliations: banks, customers, suppliers, loans, assets, tax Processing Month end and year end journals
(additions, disposals, deprecation calculation, etc.) Loan register maintenance (drawdowns, repayments, interests Monthly reconciliations: banks, customers, suppliers, loans, assets, tax Processing Month end and year end journals
Assist with insurance Claims Trade – manage WIP/check proforma's converted correctly to invoices – distributed employees, complete monthly and weekly schedules Checking of working hours and daily signing in and out
Insurance Claims for their three branches Manage and checking of proforma's converted correctly to invoices
Insurance Claims for their three branches Manage and checking of proforma's converted correctly to invoices