FPA activities (analysis; budgeting; forecasting). Cash flow; working capital management; aid asset investment
and assist with customer receipting queries, and cash collection procedures. Performing reconciliations
Invoices. Able to do creditors reconciliation. Updating Cash books. Assist with management accounts when required
Invoices. Able to do creditors reconciliation. Updating Cash books. Assist with management accounts when required
and assist with customer receipting queries, and cash collection procedures. Performing reconciliations
change it with us. Staff training and development Cash up duties Time management Admin Staff management
Legal, Office Administration, Automotive, Call Centres, Technical, Hospitality, Insurance, Supply Chain
amongst others Operational Support (10%) Support the Centre with general office management tasks including including reception and facilities Support the Centre with the ordering of stationery / office refreshments for Assistant's Interaction with individuals at the Centre on a day-to-day basis Develop and maintain good
amongst others Operational Support (10%) Support the Centre with general office management tasks including including reception and facilities Support the Centre with the ordering of stationery / office refreshments for Assistant's Interaction with individuals at the Centre on a day-to-day basis Develop and maintain good
approval from sender and assign to departmental cost centre or personal costs as may be the case Reconcile facilitate allocation of costs to specific cost centre, scan and send to Finance to be captured on payment that there is a control for the applicable cost centre and update the log which must be submitted to Finance