function
requires Ensure operational effectiveness in terms of staff i.e., recruitment, availability and monitoring and Business development Retention of existing clients Staff recruitment and induction for various client sites sites Manage and monitor hours and allowance Provide training as and when required IR including initiate own vehicle Experience Proven record of managing staff at a supervisory level (sites) Previous recruitment
requires Ensure operational effectiveness in terms of staff i.e., recruitment, availability and monitoring and Business development Retention of existing clients Staff recruitment and induction for various client sites sites Manage and monitor hours and allowance Provide training as and when required IR including initiate own vehicle Experience Proven record of managing staff at a supervisory level (sites) Previous recruitment
allocations on the shared bank accounts and Insurer bank accounts Manage Ops bank account reconciliations Pastel Manage all unallocated transactions on all bank accounts Manage disputed items process (including distribute bank account confirmation letters Regularly and consistent follow-up with the Bank and Insurers
allocations on the shared bank accounts and Insurer bank accounts Manage Ops bank account reconciliations Pastel Manage all unallocated transactions on all bank accounts Manage disputed items process (including distribute bank account confirmation letters Regularly and consistent follow-up with the Bank and Insurers
and manage customer accounts. - Bank Reconciliations: Perform regular bank reconciliations to ensure accurate decision-making processes. - Support Senior Accountants: Provide assistance to senior accountants and finance managers aid contribution - Professional development and training opportunities - Work Environment: - Supportive
urgently looking for an Accountant responsible for providing a full accounting function. Salary offered is •Collaborate with warehouse employees and other staff to ensure business goals are met. •Report to upper returns. Bank & Cash: •Processing of Cash book postings – receipts, payments from bank statements statements on Pastel. •Reconciliation of Bank statements / Cash book. •Petty cash reconciliation and reporting
is looking for an Accountant responsible for providing a full accounting function to its business. JOB Collaborate with warehouse employees and other staff to ensure business goals are met Report to upper and returns Bank & Cash: Processing of Cash book postings receipts, payments from bank statements statements on Pastel Reconciliation of Bank statements / Cash book Petty cash reconciliation and reporting on a
Organising, co-ordinate Group training events and other training initiatives as required. Optimally utilising SAP Business Events module to ensure accurate training data and timeous reporting in respect of compliance compliance and general reporting Administering and keep training records/information up to date on L&D initiatives proper record system on all documents relating to training and development for compliance and other reporting for all study assistance, bursaries and other training invoices adhere to procurement processes Managing
Organising, co-ordinate Group training events and other training initiatives as required. Optimally utilising SAP Business Events module to ensure accurate training data and timeous reporting in respect of compliance compliance and general reporting Administering and keep training records/information up to date on L&D initiatives proper record system on all documents relating to training and development for compliance and other reporting for all study assistance, bursaries and other training invoices adhere to procurement processes Managing