Responsibilities:
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SAP and Excel. To liaise with vendors, stores, and management. To prepare reconciliation for payments
SAP and Excel. To liaise with vendors, stores, and management. To prepare reconciliation for payments
legislation: Tariffs and Duties application 4. Bond Store Management 5. MDP programme 6. NRCS, PRCC and Import Manual Support From : 1. Direct Manager 2. Stores 3. Sales Managers 4. Other Line Managers 5. Service Providers
legislation: Tariffs and Duties application 4. Bond Store Management 5. MDP programme 6. NRCS, PRCC and Import Manual Support From : 1. Direct Manager 2. Stores 3. Sales Managers 4. Other Line Managers 5. Service Providers
A position has become available for a Bookkeeper to join our dynamic team. To perform all accounting and reporting related activities for all KZN retail group stores. KEY PERFORMANCE AREAS Weekly collation of Store reporting. Review of Creditor Payments. Preparation of balance sheet reconciliations.
Record to Report Accountant 6 month contract must be immediately available / 2 weeks
JOB PURPOSE:
Performs professional accounting work including compilation and analysis of financial data. Requires an understanding of accounting fundamentals and principles and bookkeeping experience.