responsible for carrying out accounting and administrative duties such as the processing and payment of Additionally, there will be the responsibility for the bank reconciliation process which will include accurate accurate allocation of cash on the company's bank accounts. Accounts Payable Reconcile Invoices, requisitions approval) Perform monthly Bad Debt provision calculation Bank Reconciliations (Cashbooks) Processing transactions cashbooks daily Maintain & reconcile cashbooks to bank statements daily Unallocated cash is investigated
billing . Branch administration support with all month end requirements. Administration Liaise with Operations office order is received Ensure that the money is banked before the hire occurs, for all cash clients Resolve
billing . Branch administration support with all month end requirements. Administration Liaise with Operations office order is received Ensure that the money is banked before the hire occurs, for all cash clients Resolve
Creditors Age Analysis Release Payment Run Approval of Bank Reconciliations Develops, implements and maintains
Technicians, Repair S hop Assistants, Administrator: Services, Administrator: Inventory, Sales Representatives
Technicians, Repair S hop Assistants, Administrator: Services, Administrator: Inventory, Sales Representatives
Centre, Claims, Data Management and Premium Administration Oversee, in conjunction with the Operations Centre, Claims, Data Management and Premium Administration Ensure business strategy is implemented at
Centre, Claims, Data Management and Premium Administration Oversee, in conjunction with the Operations Centre, Claims, Data Management and Premium Administration Ensure business strategy is implemented at
schemes. This includes, but is not limited to, administration, maintenance of, regulatory changes, scheme
proficiency in Ms Excel. Working knowledge of administration and related processes. Tertiary qualification