required write downs and write up, split bills, transfers, including and excluding, discounts
required write downs and write up, split bills, transfers, including and excluding, discounts Submit invoices final sign off and distribution Calculating and cross-checking invoices before finalization Manage invoice
companies for goods purchased and services rendered, transfer of funds to government institutions, public and pension fund and insurance schemes Administration of transfer and miscellaneous payments and verification of
balance sheet account variances.
action balance sheet account variances. Prepare and post journal entries. Manage subsystem vs general ledger Banking & Cash management: Verify weekly bank transfers (creditor and wages) Review and authorise creditors proposed Capex. Complete Capex additions /disposal / transfer applications. Monitor and report Capex monthly
action balance sheet account variances. Prepare and post Journal entries. Manage subsystem vs general ledger Banking & Cash management: Verify weekly bank transfers (Creditor and wages) Review and authorise creditors proposed CAPEX. Complete CAPEX additions /disposal / transfer applications Monitor and report CAPEX monthly
GRN's. Process inventory cost updates and stock transfers accurately where applicable. Maintain inventory commensurate with the skills and experience of the post holder. To have responsibility for the Health, Safety
submission. Compile weekly sales reports. Prepare and post Journal entries. Audit and Financial Period Prepare proposed CAPEX Complete CAPEX additions /disposal / transfer applications Monitor and report CAPEX monthly
events and enable them to make informed elections. Post-publication market engagement Access additional additional information from stakeholders (STRATE and Transfer Secretaries), if not immediately available, to enable Product support and enablement Provide inputs to cross-functional work groups regarding Corporate Actions
events and enable them to make informed elections. Post-publication market engagement Access additional additional information from stakeholders (STRATE and Transfer Secretaries), if not immediately available, to enable Product support and enablement Provide inputs to cross-functional work groups regarding Corporate Actions