book reconciliation Daily reconciliation of cash sales to system generated listings, actual cash on hand
the processing of client information receipts, sales invoices, and purchase invoices. Perform bank reconciliations etc. Process journal entries e.g., new installment sale agreements, interest on borrowings, provisions,
the processing of client information receipts, sales invoices, purchase invoices. Perform bank reconciliations etc. Process journal entries e.g., new instalment sale agreements, interest on borrowings, provisions,
the processing of client information receipts, sales invoices, purchase invoices Perform bank reconciliations etc. Process journal entries e.g., new instalment sale agreements, interest on borrowings, provisions,
This is a combined sales and service position, whose primary function is to provide quality service
control accounts etc. Recon VAT reports to the Sales/Turnover account.
control accounts etc. Recon VAT reports to the Sales/Turnover account. Calculate and submit Compensation
control accounts etc. Recon VAT reports to the Sales/Turnover account. Calculate and submit Compensation
systems, resources and processes.
saving the month ends for stores from the point-of –sale for correctness, looking for errors;