internal business reporting and controlling. Financial control over inventory and assets and monthly assessments
Reconciliation and clearing of deposit control / receipting control accounts (together with debtor's administrators) • Preparation of a full VAT reconciliation: • Control Account Reconciliation • VAT IT14SD reconciliations reconciliations for: • Reconciliation of Fixed Assets • Inventory reconciliations of all accounts • Accounts receivable
Reconciliation and clearing of deposit control / receipting control accounts (together with debtor's administrators) • Preparation of a full VAT reconciliation: • Control Account Reconciliation • VAT IT14SD reconciliations reconciliations for: • Reconciliation of Fixed Assets • Inventory reconciliations of all accounts • Accounts receivable
Johannesburg. Responsibilities: Update stock and inventory across all platforms. Customer service, NPS, and reporting. Experience in content, product, and inventory management. Expertise in SEO and non-technical
applications, payments etc. Manage internal and external communications relating to customers and branch Preferred Previous experience managing Stock/Inventory - Required Must be Fluent in Afrikaans and English
appointments, filing, recordkeeping, and inventory control. Maintain office efficiency by planning and
Reconciliation and clearing of deposit control / receipting control accounts (together with debtor's administrators) deadline Preparation of a full VAT reconciliation: Control Account Reconciliation VAT IT14SD reconciliations reconciliations for: Reconciliation of Fixed Assets Inventory reconciliations of all accounts Accounts receivable
organizing office operations and procedures. Control internal and external correspondence. Implementing filing
organizing office operations and procedures. Control internal and external correspondence. Implementing filing
Reconciliation and clearing of deposit control / receipting control accounts (together with debtor's administrators) deadline Preparation of a full VAT reconciliation: Control Account Reconciliation VAT IT14SD reconciliations reconciliations for: Reconciliation of Fixed Assets Inventory reconciliations of all accounts Accounts receivable