recording financial transactions, reconciling accounts, and assisting in the preparation of financial general ledger. Accounts Payable and Receivable: Process accounts receivable/payable and handle payroll reconciliations of bank accounts. Reconcile discrepancies by collecting and analysing account information. Financial auditors. Software and Systems Management: Use accounting software (e.g., QuickBooks, Sage) and other office Administrative Support: Provide support to the accounting department and other departments as necessary
responsibility for the management of the secondary services contract for Western Cape Government. This is multifunctional main areas of responsibilities include: Effective contract management and SLA adherence Client retention services which includes, account management, consulting, and facilitation on all contracted secondary services relationships. Client relationship management, contract management and stakeholder engagement Manage all all aspects of the secondary services contract Provide ongoing client management and consultancy services
responsibility for the management of the secondary services contract for Western Cape Government. This is multifunctional main areas of responsibilities include: Effective contract management and SLA adherence Client retention services which includes, account management, consulting, and facilitation on all contracted secondary services relationships. Client relationship management, contract management and stakeholder engagement Manage all all aspects of the secondary services contract Provide ongoing client management and consultancy services
negotiating, and analyzing costs for tenders and contracts. • Coordination of work effort. • Valuing completed additional works • Compiling and agreeing final accounts on completed work. • Estimating and procurement valuations for potential new work • Preparation of contract documents, including bills of quantities with
negotiating, and analyzing costs for tenders and contracts. • Coordination of work effort. • Valuing completed additional works • Compiling and agreeing final accounts on completed work. • Estimating and procurement valuations for potential new work • Preparation of contract documents, including bills of quantities with
project budgets, cost estimates, viabilities, and contracts. - Attend and participate in project planning procurement of tenders, and reporting - Compile contract documentation - Administer the construction process and complete final account negotiations, final account, and final statement of account. - Attend to office
project budgets, cost estimates, viabilities, and contracts. - Attend and participate in project planning procurement of tenders, and reporting - Compile contract documentation - Administer the construction process and complete final account negotiations, final account, and final statement of account. - Attend to office
to inform the decision making. Involvement with contract negotiations and SLAs Identifying and assessing Finance function with a focus on teamwork and accountability, to deliver commercial performance in order
to inform the decision making. Involvement with contract negotiations and SLAs Identifying and assessing Finance function with a focus on teamwork and accountability, to deliver commercial performance in order
fund units report and updating and adding client accounts on our third-party funds supplier for our active portfolios and regular monitoring of funds and accounts on various platforms. Process and execute financial opening of new client accounts, support with phasing of various investment accounts and help implement any any changes required to client accounts, trading accounts disbursements etc. Engage and manage other effect to instructions to: open accounts, switch investments, close accounts, obtain investment statements