Capex trackers. Verify and reconcile living out allowances for accuracy. Check and verify overtime hours
Capex trackers. Verify and reconcile living out allowances for accuracy. Check and verify overtime hours
responsible for the following: Collecting trade debt: Verifying payment of new and existing customer accounts
of accounts payable and receivable transactions Verify the precision of financial data and assist the
responsible for the following: Collecting trade debt: Verifying payment of new and existing customer accounts
of accounts payable and receivable transactions Verify the precision of financial data and assist the
Ensure accurate allocation of all expenses and verify banking details on invoices. Match invoices with
Ensure accurate allocation of all expenses and verify banking details on invoices. Match invoices with
(Capex) guidelines and maintain Capex trackers. Verify and reconcile living out allowances for accuracy
Ensure timely submission of UIF declarations with verified information. Maintain PAYE reconciliation updated