to process with their own complexities Monthly salaries Factory – weekly paid Factory monthly paid Shifts Excellent knowledge of payroll and legislative requirements Knowledge of principles and practices of personnel
and maximise cash flow and best market related offers for Properties in Possession and Sell Assist. Ensuring Properties in Possession portfolio Ensure that offers are market related and that the properties are Effectively manage Sell Assist, Marketing and Private offers with shortfalls or losses: Ensure valuations are 100% technical and non-technical competencies as required by the job Supervise staff for optimum results verbal communication skills Good negotiation skills, client service Good knowledge of the Excalibur system
and maximise cash flow and best market related offers for Properties in Possession and Sell Assist. Ensuring Properties in Possession portfolio Ensure that offers are market related and that the properties are Effectively manage Sell Assist, Marketing and Private offers with shortfalls or losses: Ensure valuations are 100% technical and non-technical competencies as required by the job Supervise staff for optimum results verbal communication skills Good negotiation skills, client service Good knowledge of the Excalibur system
industry. Applicants must be computer literate and live in the surrounding areas, and preference will be
industry. Applicants must be computer literate and live in the surrounding areas, and preference will be
established company based in Durban North KZN requires a Financial Accountant with; Post graduate qualification allowance R8600 and medical aid, pension and other benefits
financial modelling. R65k R8 500 car allowance benefits bonus
to process with their own complexities Monthly salaries Factory – weekly paid Factory monthly paid Shifts Excellent knowledge of payroll and legislative requirements Knowledge of principles and practices of personnel
invoicing in a medium—to large company. This role offers a unique opportunity for professional growth and manufacturing business and its intricate processes is required to streamline cost analysis and facilitate accurate
assisting in external audit requirements, and handling ad-hoc duties as required by the Financial Manager Perform bank reconciliation including cheque, call, salary, and 48-hour transactions Import bank statements through with the development funding process when required Complete quarterly financial statistical survey Reviewing and authorizing payments as and when required Prepare accurate monthly, quarterly, and yearly audit requirements and authorize EFT payments when necessary Ad-hoc reporting and duties as required by