limited to): Accounts receivables Accounts payables Bank reconciliations Inventory reconciliations VAT control account Inter-company accounts (loans, receivables, and payables) Fixed Asset Prepaid expenses Deposit per the income statement and the 12-month report received from the HR department Please take note: if you
implement robust data solutions, including data warehouses, data lakes, and BI platforms. Conduct comprehensive of data solutions. Proven experience with data warehouse and BI solution performance analysis, tuning,
commissions processing / income processing, distributed to the Financial Planning Partners. The incumbent Company. Monitor the central e-mail accounts. Receive, validate and process withdrawals for clients daily statement relating to commission / fee deposits received. Receive and process individual product provider commission statements relative to the daily bank deposits received. Create and process manual commission payments product providers on queries and internal queries received from the regions. Request and submit invoices
commissions processing / income processing, distributed to the Financial Planning Partners. The incumbent Company. Monitor the central e-mail accounts. Receive, validate and process withdrawals for clients daily statement relating to commission / fee deposits received. Receive and process individual product provider commission statements relative to the daily bank deposits received. Create and process manual commission payments product providers on queries and internal queries received from the regions. Request and submit invoices
including financial reporting, accounts payable and receivable, budgeting, and tax preparation. The role will interest schedule Balance sheet account reviews Stock take postings Posting year end audit journals SARS payment issues with assigned vendors Supervise all inventory control management processes Change of banking
activities. Update spreadsheets, databases, and inventories with relevant information. Design, compose, and role reports to the Commercial Manager and will receive substantial support and training. Computer literate
relationships with all tenants and brokers. Compile and distribute vacancy schedule to all brokers. Maintain and documentation from tenants are followed up and if not received within a timeframe to escalate for assistance
relationships with all tenants and brokers. Compile and distribute vacancy schedule to all brokers. Maintain and documentation from tenants are followed up and if not received within a timeframe to escalate for assistance
efficiently which includes management of inventory levels & stock turns and custodian of Netstock. Develop
efficiently which includes management of inventory levels & stock turns and custodian of Netstock. Develop