Manager with a legal background in property law and finance? Our client based in Germiston requires an experienced Office Suite Ability to work independently and as part of a tea DUTIES Complete CIPC submissions for all maintenance when necessary Check incoming payments on bank statements Prepare month end creditors payment lists
Manager with a legal background in property law and finance? Our client based in Germiston requires an experienced Office Suite Ability to work independently and as part of a tea DUTIES Complete CIPC submissions for all maintenance when necessary Check incoming payments on bank statements Prepare month end creditors payment lists
technicians and for spare parts and machinery. Ensure accurate recording of all bank transactions in QuickBooks the 9th of each month. Reconcile petty cash and bank statements monthly according to established procedures necessary approvals. Company VAT: Assist in processing bank statements and follow up on missing invoices. Coordinate Coordinate with the accountant to collect reconciled bank statements. Submit all necessary documentation for respond to quotation and order requests. Track parts and machine orders, ensuring timely communication
processes
well as part of a team. For various companies (including but not limited) - 1. Processing a. Bank recons
and implementaion, particularly in the
forklift maintenance Compile import bank reconciliations for the reserve bank Compile all quality management
forklift maintenance Compile import bank reconciliations for the reserve bank Compile all quality management
analysis and implementaion, particularly in the finance environement; Minimum 5 (five) year's exeperience Lead and manage the implementation of JDE in the finance department, ensuring the alignment with business JDE modules to meet the specific needs of the finance department Develop and execute test plans to ensure
analysis and implementaion, particularly in the finance environement; Minimum 5 (five) year's exeperience Lead and manage the implementation of JDE in the finance department, ensuring the alignment with business JDE modules to meet the specific needs of the finance department Develop and execute test plans to ensure