and co-ordinate allocated projects according to standard project management principles. Qualifications: administration of Seta's Skills Development Programs and Learnerships would be beneficial. Added Advantage: Additional
material meets customer requirements and national standards set. Facilitate learning using a variety of learning by developing customized training programs or learnerships. Based on needs analysis contributing to the
to ensure accuracy of amounts paid and to correct bank accounts. Processing of invoices from suppliers Prepare monthly reconciliations in accordance with standard templates and deadlines. Payment allocation checks ethic. Ability to take instruction and follow standard operating procedures. Ability to meet deadlines
to ensure accuracy of amounts paid and to correct bank accounts. Processing of invoices from suppliers Prepare monthly reconciliations in accordance with standard templates and deadlines. Payment allocation checks ethic. Ability to take instruction and follow standard operating procedures. Ability to meet deadlines
financial statements. To negotiate favourable terms of banking facilities with service providers. To ensure accurate performance outcomes are achieved according to required standards. To oversee the procurement function, further further ensuring strict adherence to procurement standard and operational efficiencies. To support analysis
the consolidation process during the audit. Standardize audit pack for individual companies to ensure reasons therefore. Maintain banking relationships and negotiate terms with banks under the strict supervision
the consolidation process during the audit. Standardize audit pack for individual companies to ensure reasons therefore. Maintain banking relationships and negotiate terms with banks under the strict supervision
have previous working experience in the finance / banking industry. Computer skills: Excel , Word and MS investments. Dealing with the opening of Forex trading bank accounts Monthly
financial accounts receiving funding services with the bank and ensure POD's are provided and appropriate limits desired results. Individual needs to set high standards and have a high attention to detail.
(Invoices). Responsible for providing accurate banking details for payment purposes. Amending and maintaining