reconciliation on the debtors clearing accounts (Cash, card and other). Bank and petty cash. WHT adjustment scanned and signed off daily. Import sales from POS to Acumatica, match the banking transactions and reconciliation on the debtors clearing accounts (Cash, card and other). Invoicing third party / related parties
experience
availability Process sales transactions through POS (Point of Sale) system Maintain a tidy and organized
experience Knowledge & use of cash register / POS machines Excellent communication skills and well
experience Knowledge & use of cash register / POS machines Excellent communication skills and well
availability Process sales transactions through POS (Point of Sale) system Maintain a tidy and organized
availability
working order at all times · Admin o Complete all job cards timeously o Complete down time report monthly o regards to vehicle usage, cellphone usage, petrol card and Tools of trade · Matric or NTC 3 Electronics
schedules maintenance
Updating BBB-EE score card Schedules
Attend to Annual Audit queries<
Proficient in Microsoft as well as a reputable POS System. Previous exposure to Expedia & Semper