Admin Clerk in the Atlas area. Check Driver Ledger Daily for Driver Cash short & Outstanding EFT payments for transfers between drivers and send to manager for approval. Verify Driver CASH SHORT and Reported Reported to DM's to follow up with their drivers. Where the driver recon job was not modified, confirm with to modify. Report of CASH Short Daily. Reconcile Driver Accounts Weekly, report any unresolved variances variances to DM's to follow up with their drivers. Assist Driver Reconciliation team when needed. Grade 12 2-3
Prepare Monthly WIP / Retention on hold File · Assist the tendering department, · · Grade 12 · Minimum in MS Office, with advanced MS Excel, · Valid drivers license and own transport preferred,
Deadline driven and able to work independently. Valid driver's license and own transport available during office calculations in order to submit returns on E-filing. Assist accountants with various client matters, including
Deadline driven and able to work independently. Valid driver's license and own transport available during office calculations in order to submit returns on E-filing. Assist accountants with various client matters, including
Planning & Execution of Field work:
Supplementary schedules Completing centralized statements Assist ops finance clerks during peak periods & when branch managers. Complete month-end branch report Assist branch manager with Budgets & Forecasts Meeting working hours as/ when required Valid Code 08 Driver's License Market Related
degree at a SAICA accredited university Valid drivers license and vehicle Willingness to learn and grow
training and exposure in a variety of industries. Assist and mentor junior clerks Review all accounting Draft financial statements Liaise with clients Assist with taxation matters Prepare and posting cheque queries General filing Assisting with reports Assisting with maintaining archives Assisting accountant with with any other functions as may be required Assisting with the overall financial reporting Daily processing Preparation of creditor reconciliations and payments Assisting with monthly financial reports, annual audit working
team, assisting with various financial tasks and gaining valuable experience in the field. Assisting with with the preparation of financial statements Assisting with general accounting tasks, such as bookkeeping
team, assisting with various financial tasks and gaining valuable experience in the field. Assisting with with the preparation of financial statements Assisting with general accounting tasks, such as bookkeeping