team. To coordinate for part issuing & data entry in the system. To help & support all kinds of
team. To coordinate for part issuing & data entry in the system. To help & support all kinds of
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POSITION EXIST?) Responsible by posting journal entries. Applies principles of accounting to analyze financial recording and verifying transactions. Cashbook Capture entries, maintain and reconcile cash book Loading of all beneficiary details in the bank Process salary and wage entries into cashbook Reconciliation of bank statements
Finance, Business, Accounting, Engineering or Economics 8-10 years' experience in appraising, negotiating track record in leading project teams with high level stakeholders and qualified professionals Experience communicator and negotiator (expertise at senior level). Strong negotiation skills with the ability to
book and Bank reconciliation Conduct cash book entry to reconcile with the income Do payments on weekly journals on Everest Conduct EFT for payments Do second level Bank authorisation Confirmation of budget allocation Funds or equivalent would be an advantage Relevant levels of regulatory examinations. A minimum of 5 years'
to customer queries Always adhere to the service level agreements Respond professionally to website queries Excellent data entry skills Strong telephone etiquette Always demonstrate an elevated level of customer
to customer queries Always adhere to the service level agreements Respond professionally to website queries Excellent data entry skills Strong telephone etiquette Always demonstrate an elevated level of customer
follow the up until completion.
QUALIFICATION
Having
reporting, including accounting for month-end entries, balance sheet reconciliations, and the preparation