all required loan sets to branches and hospital cases. Handle delivery / collection of loan sets and stock : collection / receipting / delivery of stock / loan sets wherever and whenever necessary. Checking of documentation to accompany loan sets to / from customer. Usages from loan sets to be accurately recorded stock takes. Weekly stock counts. Requisitioning of loan sets and implants and follow up of flight details
all required loan sets to branches and hospital cases. Handle delivery / collection of loan sets and stock : collection / receipting / delivery of stock / loan sets wherever and whenever necessary. Checking of documentation to accompany loan sets to / from customer. Usages from loan sets to be accurately recorded stock takes. Weekly stock counts. Requisitioning of loan sets and implants and follow up of flight details
end financial reporting (processing inter-company loans and recoveries, and preparing monthly management
responsible for loan accounts and balance sheet recons Be responsible for interest, depreciation and loan journals
Support to group treasury by maintaining intercompany loan schedules, and assisting in group cashflow management
reconciliations.
reconciliations (customers, suppliers, intercompany loans, etc.);
reconciliations (customers, suppliers, intercompany loans, etc.); Year-end adjusting journals; Prepare and
reconciliations (customers, suppliers, intercompany loans, etc.); Year-end adjusting journals; Prepare and
Statutory submission documentation for SARS Other: Loan consultants: Manage employee queries, add and deactivate