well-known tyre retailer is looking to employ a Store Administrator with at least 1 – 2 years' experience will be responsible for the administration of all store accounting including accounts payables, accounts administrative functions required to support achieving store objectives. Additionally, the administration of Administrator Overseeing the GOA (If applicable to the store) Plan and Organize Resources (co-responsible for
well-known tyre retailer is looking to employ a Store Administrator with at least 1 – 2 years' experience will be responsible for the administration of all store accounting including accounts payables, accounts administrative functions required to support achieving store objectives. Additionally, the administration of Administrator Overseeing the GOA (If applicable to the store) Plan and Organize Resources (co-responsible for
well-known tyre retailer is looking to employ a Store Administrator with at least 1 – 2 years' experience will be responsible for the administration of all store accounting including accounts payables, accounts administrative functions required to support achieving store objectives. Additionally, the administration of Administrator Overseeing the GOA (If applicable to the store) Plan and Organize Resources (co-responsible for
well-known tyre retailer is looking to employ a Store Administrator with at least 1 – 2 years' experience will be responsible for the administration of all store accounting including accounts payables, accounts administrative functions required to support achieving store objectives. Additionally, the administration of Administrator Overseeing the GOA (If applicable to the store) Plan and Organize Resources (co-responsible for
Junior Financial Accountant role has just become available at the fastest growing, media and advertising payments Conduct daily sales reconciliations for all stores, reconciling weekends and public holiday sales monthly reconciliation of petty cash items at the stores Assist with asset/liability reconciliations and
verification checks for retail stores. Daily Cycle counts for retail stores – issue and reconciliation Prepare
verification checks for retail stores. Daily Cycle counts for retail stores – issue and reconciliation.
verification checks for retail stores. Daily Cycle counts for retail stores – issue and reconciliation.
Ensure that all bank statements and recons are stored and easily accessible. Accounting Assist in preparing records. Ensuring payment list is maintained and available to finance heads for review and approval on a Ensuring that all documents relating to payments are stored correctly. Cash Books Ensuring that all transactions that all documents relating to bank recons are stored correctly. Accounting Ensuring Intercompany transactions
Approving or rejecting the loans based on the available data; Calculation of the interest rates for loans;