salary administrators to bank account payments Assist with the reconciliation and preparation of VAT 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 maintain
research and development to shape the future of public health and the life insurance industry. Join our client's analyzing, and responding to the evolving landscape of health trends and technologies. Research and Development: and internal studies to identify trends in public health with implications for mortality and morbidity outcomes outcomes. Craft strategies that align with public health changes, guiding product development, pricing, extensive research and data analysis on diverse public health topics, generating actionable insights to adapt
research and development to shape the future of public health and the life insurance industry. Join our client's analyzing, and responding to the evolving landscape of health trends and technologies. Research and Development: and internal studies to identify trends in public health with implications for mortality and morbidity outcomes outcomes. Craft strategies that align with public health changes, guiding product development, pricing, extensive research and data analysis on diverse public health topics, generating actionable insights to adapt
applications Maintaining vendor and client database Assist in Debt collection Finance / HR Officer Perform Financial Manager Reconciliation of bank statements Assistance during the yearend audit Perform month end procedures and file documents carry out invoicing duties Assistance during the yearly audit Coordinate and monitor financial reports Health and Safety Familiarise yourself with and adhere to all health and safety rules employees and any other person failing to conform to health and safety rules, regulations, policies and standards
Branch and Store Manage (POS23175)
Roodepoort
R 18 000 to R 25 000 per understanding of management of stock
of financial records. Responsibilities include assisting in financial reporting, analyzing data, reconciling
accounts, and contributing to the overall financial health of the organization.
Job Experience
verification checks for retail stores. Daily Cycle counts for retail stores – issue and reconciliation Prepare Daily electronic filing to be kept up to date Assisting with other companies withing the group when required
verification checks for retail stores. Daily Cycle counts for retail stores – issue and reconciliation. Daily electronic filing to be kept up to date. Assisting with other companies within the group when required
verification checks for retail stores. Daily Cycle counts for retail stores – issue and reconciliation. Daily electronic filing to be kept up to date. Assisting with other companies within the group when required
accounts and preparing monthly bank reconciliations. Assist in the finance department as required to meet reporting standards, as well as the appropriate file and assisting relevant parties to trace documents on request of any non-compliance to finance standards and assisting in rectifying issues identified. Cash Books On statements and recons are stored and easily accessible. Accounting Assist in preparing debtors invoices correct differences in intercompany were required. Assist with any queries raised by management on any debtor