all transporters have necessary documentation to carry a load and to cross the border (export/ import documents interest of all parties Ensure that all loads carried by transporters are covered by insurances (goods
all transporters have necessary documentation to carry a load and to cross the border (export/ import documents interest of all parties Ensure that all loads carried by transporters are covered by insurances (goods
uploading data/files) Responsibilities: Reconcile the cash books on a daily basis Update daily bank movements forecast Prepare and process payments Reconcile petty cash Process all required entries and journals Reconcile including but not limited to: Credit and Fleet cards Cash book and bank accounts Creditors and Accounts Payable
uploading data/files) Responsibilities: Reconcile the cash books on a daily basis Update daily bank movements forecast Prepare and process payments Reconcile petty cash Process all required entries and journals Reconcile including but not limited to: Credit and Fleet cards Cash book and bank accounts Creditors and Accounts Payable
Ensuring the quality nursing care activities carried out comply with the S.A.N.C. regulations, relevant
control over the Head Office petty cash box, approving petty cash requests, reconciling the account, correct and payment is made timeously Compiling cash forecasting reports at agreed reporting intervals
period prior to embarking on financial reporting by carrying out detailed pre-month end and month-end close
period prior to embarking on financial reporting by carrying out detailed pre-month end and month-end close
turnkey bids. Build technical and commercial offers. Carry out audits; prepare reports and follow up on offers
credit card. Monthly petty cash recons, managing and maintaining petty cash Weekly claims for GM's personal