The Staff Accountant will assist the department with monthly close, billing, bank reconciliation and process vendor payments, record & reconcile bank accounts, reconciliation of intercompany accounts of monthly invoices
The Staff Accountant will assist the department with monthly close, billing, bank reconciliation and billing, process vendor payments, record and reconcile bank accounts, reconciliation of intercompany accounts Billing of monthly invoices Record and reconcile bank accounts Process intercompany transactions and reconciliations accounting Prior experience as a Staff Accountant, or equivalent duties GL, Bank, AP, and AR experience International (Gqeberha and East London) View our jobs below. Need staff. Email us. clientshireresolve.us
Billing of monthly invoices · Record and reconcile bank accounts · Process intercompany transactions and years of experience in finance or accounting · GL, Bank, AP, and AR experience · International accounting
The Staff Accountant will assist the department with monthly close, billing, bank reconciliation and billing, process vendor payments, record and reconcile bank accounts, reconciliation of intercompany accounts Billing of monthly invoices Record and reconcile bank accounts Process intercompany transactions and reconciliations accounting Prior experience as a Staff Accountant, or equivalent duties GL, Bank, AP, and AR experience International (Gqeberha and East London) View our jobs below. Need staff. Email us. clientshireresolve.us
and operational objectives.
accounts Key contact with Bank on all Banking relations issues and authorization of bank payments Preparation Preparation of all foreign bank payments and book and maintain the monthly FEC (Foreign exchange contracts), resolve resolve all reserve bank enquiries with the Bank for foreign payments Review of all production process related matters during the verification process. Provide functional leadership and management to members employees) Coaching, training and development of team. Prepare PDA's and implement annual training plan. Customer
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Additional duties:
Duties: Arrange opening of Investment and current bank accounts for Schemes Transfer of funds between Trust management Ensuring timeous payments of service providers / contractors / municipal accounts for schemes of employment and provide relevant payroll supporting documents Management of staff loans, leave and authorization relevant parties (estate agents, lawyers, owners, banks) Archive and filing management, email and document disputes, where requested Additional duties: Opening of bank accounts (current & investment) for new schemes
Duties: Arrange opening of Investment and current bank accounts for Schemes Transfer of funds between Trust management Ensuring timeous payments of service providers / contractors / municipal accounts for schemes of employment and provide relevant payroll supporting documents Management of staff loans, leave and authorization relevant parties (estate agents, lawyers, owners, banks) Archive and filing management, email and document disputes, where requested Additional duties: Opening of bank accounts (current & investment) for new schemes
management, monitoring and audit of external service providers are compliant with BFMÂ contractual obligations
any deviation to the SLA
Monito service providers performance and effect corrective action on any
BFM management and site staff
Review BFM Management and operational staff job descriptionÂ
Review
/>Ensure alignment of the BFM site personnel and staff outputs with strategic and operational objectives
business and strategic objectives)
Review staff training initiatives and develop skills needs analysis