will be required to Control all administration – clerical, operational, depot and staff functionalities floats and balance to purchases Receive cash from bank, count, balance and reimburse all cash floats daily
activities. Provide a variety of routine office and clerical support as required including the preparation activities. Provide a variety of routine office and clerical support as required including the preparation activities. Provide a variety of routine office and clerical support as required including the preparation
activities. Provide a variety of routine office and clerical support as required including the preparation activities. Provide a variety of routine office and clerical support as required including the preparation activities. Provide a variety of routine office and clerical support as required including the preparation
processes, e.g., Bank Statement Processing, Bank Account Management, In House Bank and Cash Management
relationships with external stakeholders, including banks, auditors, and regulatory bodies. 6. Lead and manage financed through dealer and customer floorplans, bank statement balances to be checked for completeness
administrative functions, returns, record keeping & clerical operations are carried out at the appropriate
administrative functions, returns, record keeping & clerical operations are carried out at the appropriate
fuel comparison reports. Maintain/manage monthly Banking The successful candidate must have: Matric with
Filing of necessary documents regarding daily banking, counter sales invoices, credit notes, etc. Recon
reconciliation PAYE, VAT and WCA Managing the company's bank accounts (local) and managing cash flows. Balance