ordering and monthly reconciliations.
/>Responsibilities:
through to supplier ● Payments to supplier ● Reconciliation of accounts ● Collecting outstanding amounts invoices; statements en petty cash (FINCON) ● Bank: Reconciliation of bank statements; deposit books; cheque book
personal and travel expenses
Computer literacy is crucial. Duties: Monthly reconciliation of all stocks Stock enquirers Monthly reporting
Computer literacy is crucial. Duties: Monthly reconciliation of all stocks, Stock enquirers Monthly reporting
enough to work on their own Ability to do reconciliations (need to be good with numbers)
enough to work on their own Ability to do reconciliations (need to be good with numbers)
Fuel Service Station -Daily Cash up Reconciliation -Fuel Reconciliation, balancing deliveries from Delivery Automatic Tank Guage -Petty Cash Management & Reconciliation -Issuing Cashier Floats and replenishing small