for tax returns disclosure purposes -Maintaining cash books for both Rand and CFC accounts, performing monthly bank account reconciliations -Managing petty cash and handling administration of staff reimbursements assisting with Factory Shop accounting -Conducting daily cash reconciliations -Handling other ad hoc accounting Accounting -Experience in general ledger entries, cash book management, and fixed assets would be preferable
for tax returns disclosure purposes -Maintaining cash books for both Rand and CFC accounts, performing monthly bank account reconciliations -Managing petty cash and handling administration of staff reimbursements assisting with Factory Shop accounting -Conducting daily cash reconciliations -Handling other ad hoc accounting Accounting -Experience in general ledger entries, cash book management, and fixed assets would be preferable
based on customers issues identified. • Allocate cash receipts to the respective customer • Ensure that reviewed weekly payrun onto banking portal • Allocate cash payments to the respective invoice in SAGE. Sales
based on customers issues identified. • Allocate cash receipts to the respective customer • Ensure that reviewed weekly payrun onto banking portal • Allocate cash payments to the respective invoice in SAGE. Sales
stock takes and manage stock orders, handling cash-ups and cash handling procedures. Requirements: Matric
stock takes and manage stock orders, handling cash-ups and cash handling procedures. Requirements: Matric
monthly suppliers) Downloading proof of payments Cash books: Processing cashbook transactions to correct
monthly suppliers) Downloading proof of payments Cash books: Processing cashbook transactions to correct
RECEPTIONIST: (MUST STAY IN CAPE TOWN) Do you need to build your experience then this is the temporary position
RECEPTIONIST: (MUST STAY IN CAPE TOWN) Do you need to build your experience then this is the temporary position