accounting and processing up to trail balance. Monthly bank reconciliations. Monthly journal entries. VAT reconciliations
Handling trust accounts with precision Utilizing banking experience to streamline financial transactions
reconciliations and submission on e-filing Processing of bank statements Drafting of financial statements Review
Debtor reconciliations Creditor reconciliations Bank reconciliations Assisting with cashflow Financial
as needed. Financial management tasks including banking and handling the petty cash. Update sites such
as needed. Financial management tasks including banking and handling the petty cash. Update sites such
Incidents and Service request according to ITIL standards • Follow up on existing and outstanding tickets accountability for incident management as per ITIL standards and best practice • Respond to all customers within
Guarantee all safety precautions and quality standards are met Supervise the use of machinery and equipment
Guarantee all safety precautions and quality standards are met Supervise the use of machinery and equipment
business partners, as required, to ensure a high standard of client service is delivered at all times and