(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
accurate and complete for the month for all three branches and allocations are correct – Dbn, Cpt & Jhb (monthly) for Services & Spares for all three branches Ensure all Certificates are forwarded to client payment Manage Insurance Claims for their three branches Manage and checking of proforma's converted correctly
accurate and complete for the month for all three branches and allocations are correct – Dbn, Cpt & Jhb (monthly) for Services & Spares for all three branches Ensure all Certificates are forwarded to client payment Manage Insurance Claims for their three branches Manage and checking of proforma's converted correctly