reconciliation of the company credit card by means of a bank statement Ensure correct allocation of all transaction
limited to: Preparation of monthly local and foreign bank reconciliations Reviewing and releasing payments
limited to: Preparation of monthly local and foreign bank reconciliations Reviewing and releasing payments
surrounds Clear criminal record SARS Certificate Bank Account Verification Police Clearance Certificate
purchases – receive and process all payments (cash, bank cards, vouchers, coupons, other forms of payments)
accounting and registration; Responsible for the daily banking affairs, ensure the timely receipt and payment
treasury functions, such as cash flow management, banking signatories & profile management, ensuring
compliance with legal guidelines. You will conduct training, investigate incidents, and provide recommendations compliance documentation. Training and Education: Develop and deliver safety training programs for employees implement emergency response plans. Conduct drills and training sessions to ensure readiness in case of emergencies
/ Night Shift from 20h00 TO 05h00 Give Driver Training to drivers/customers on handover of new vehicles vehicles Complete all necessary reports for Driver Training given. Move vehicles between dealership/suppliers/customers
at their Companies Premises whenever required. Training at External Clients Sites Must be willing to work and funeral Risk Insurance training at External Clients Sites. Scenarios Train & support in terms of