the budget. Maintain accurate company account records in strict compliance with legal and unit office accurate processing of creditor payments. Accurately record capital expenditures (capex) and assets on the
the budget. Maintain accurate company account records in strict compliance with legal and unit office accurate processing of creditor payments. Accurately record capital expenditures (capex) and assets on the
Minimum of 2 years in security industry No criminal record Willing to undergo criminal checks regularly Must
prepare interview guides, evaluate applicants and recording interview outcomes Ensure positive candidate experiences candidates and prepare onboarding sessions Maintain a record of placed candidates Brand awareness & key years working in an agency environment Proven track record of meeting targets and KPI's Ability to prioritize
prepare interview guides, evaluate applicants and recording interview outcomes Ensure positive candidate experiences candidates and prepare onboarding sessions Maintain a record of placed candidates Brand awareness & key years working in an agency environment Proven track record of meeting targets and KPI's Ability to prioritize
order to maintain proper financial accounting records and reporting for multiple companies within the function. Apply proper and accurate accounting records in multiple jurisdictions and currencies including
experience to maintain proper financial accounting records and reporting for multiple companies within the bookkeeping Apply proper and accurate accounting records in multiple jurisdictions and currencies including
experience to maintain proper financial accounting records and reporting for multiple companies within the function. Apply proper and accurate accounting records in multiple jurisdictions and currencies including
experience to maintain proper financial accounting records and reporting for multiple companies within the function. Apply proper and accurate accounting records in multiple jurisdictions and currencies including
entries and reconciliations. Update accounting records from source documents. Review trial balances and Review/prepare monthly VAT201's. Prepare accounting records from source documents to final reconciled trial