To provide an effective HR and Training service to the site including recruitment and selection, employee keeping (HR & Training), time and attendance maintenance and payroll input, training scheduling and culture change and general HR. Help identify staff training and development needs. Responsible for planning planning, organizing and overseeing appropriate training to assist the staff to perform their roles effectively and accuracy of dummy pay slips Check employee banking details To assist with queries on employee payments
To provide an effective HR and Training service to the site including recruitment and selection, employee keeping (HR & Training), time and attendance maintenance and payroll input, training scheduling and culture change and general HR. Help identify staff training and development needs. Responsible for planning planning, organizing and overseeing appropriate training to assist the staff to perform their roles effectively and accuracy of dummy pay slips Check employee banking details To assist with queries on employee payments
guests Management of staff including recruitment, develoment and training, productivity and performance corporate clients Authorisation of reversals Banking reconciliation checking and approval Manage and housekeeping, hygiene Stock and asset management including fixtures and fittings maintenance/repairs/replacements driver's license R25 000.00 - R27 000.00 CTC including Provident Fund
knowledge advantageous but not necessary ● Tertiary training in Finance or comprehensive creditors / debtors department. ● Update and reconcile cashbook to the bank statements daily The post Junior Credit Controller
Responsibilities: Weekly bank statements to be run from the banks. Weekly bank transactions to be uploaded transactions and update the batches. Perform weekly bank reconciliations. Allocate petty cash/credit card needed. Review the petty cash reconciliation. All banking details to be validated and loaded onto system reconciliations. Prepare of general journal entries including accruals. Prepare B/S reconciliations. Staff welfare journal entry into system; Payroll reconciliation including B/S accounts. Getting the supplier application
level Cashbook control and reconciliations, including bank statements Creditors and debtors Payroll Submit level Cashbook control and reconciliations, including bank statements Creditors and debtors Payroll Submit
journal processing Bank Print bank statements for each day Update the cash deposits banked with an Excel worksheet sales Balance the credit card deposits into the bank back to the expected credit card deposits as per money deposits and withdrawals into and out of the bank back to the Instant Money schedule that has been Verify the Intellimali and Cellbux deposits into the bank from each service providers' web-based dashboards worksheet per day. Verify the amount debited from the bank statement for services provided i.e. tickets and
journal processing Bank Print bank statements for each day Update the cash deposits banked with an Excel worksheet sales Balance the credit card deposits into the bank back to the expected credit card deposits as per money deposits and withdrawals into and out of the bank back to the Instant Money schedule that has been Verify the Intellimali and Cellbux deposits into the bank from each service providers' web-based dashboards worksheet per day. Verify the amount debited from the bank statement for services provided i.e. tickets and
Experience · Clear Criminal Record · Proof of Banking Details · Proof of Address · South African ID/ CV If Non- South African, please see required including the above: · National/International driver’s license more you earn · Training will be provided to successful applicants Responsibilities Include: · Responsible
Reconciliation. Loading of online Banking system. General office admin including filing. R8 000 per month The