action items coming out of complex meetings.
implement strategy to target and convert new business accounts.
implement strategy to target and convert new business accounts. Overall responsibility to ensure quality of customer accurate responses to queries / requests for assistance) Ability to develop and implement operational materials, production processes, quality control, costs, and other techniques for maximizing the effective prioritize, organize, and accomplish your work. Costing skills Dedication to service excellence in every levels in an organisation; ability to manage an account on all levels Ability to interpret product differentiators
implement strategy to target and convert new business accounts. Overall responsibility to ensure quality of customer accurate responses to queries / requests for assistance) Ability to develop and implement operational materials, production processes, quality control, costs, and other techniques for maximizing the effective prioritize, organize, and accomplish your work. Costing skills Dedication to service excellence in every levels in an organisation; ability to manage an account on all levels Ability to interpret product differentiators
Reconciliations, Collections, Journals, GRN's etc. Assist with Creditors Petty Cash Banking Cash book processing related experience Matric Currently using software accounting package, any Good working knowledge of Excel following up with outstanding payments Team player – assist others in the department, work in open office environment
established Accounting Firm in East London, is looking for a Bookkeeper for their Accounting Team. Minimum various legal entities Preparation of management accounts Submitting audit documents to SARS for VAT reviews Maintaining fixed asset registers for clients Assisting clients with Pastel queries / processing EMP501
established Accounting Firm in East London, is looking for a Bookkeeper for their Accounting Team.
legal entities
transactions to be uploaded. All accounts to sweep into main account daily. Map all the unmapped transactions reconciliations. Allocate petty cash/credit card to staff accounts. Petty Cash reimbursements (Stores). Perform morning sheet for your market. Transfer funds between accounts as needed. Review the petty cash reconciliation validated and loaded onto system. WHT adjustments. Assist when required with audit readiness and audit queries reconciliations; Creditors reconciliations; Loan account reconciliations. Prepare of general journal entries
plant equipment, ensuring efficient operations and cost-effective solutions. Minimum Requirements:- Qualification strategies and policies to ensure efficient and cost-effective operations Develop and maintain a budget utilization, fuel consumption, and maintenance costs data to identify areas for improvement and implement with vendors and suppliers to ensure timely and cost-effective procurement of fleet vehicles and parts allocations / project allocations, and supply costings to the finance team Interested in this position
plant equipment, ensuring efficient operations and cost-effective solutions. Minimum Requirements:- Qualification strategies and policies to ensure efficient and cost-effective operations Develop and maintain a budget utilization, fuel consumption, and maintenance costs data to identify areas for improvement and implement with vendors and suppliers to ensure timely and cost-effective procurement of fleet vehicles and parts allocations / project allocations, and supply costings to the finance team Interested in this position