and enhance work/process flows associated with deployed systems, contributing to process and solution
reports, trial balances and cashflow. reconcile the bank and statements. Maintain the financial health of tracked and submitted timeously manage and run bank recons and bank allocations processing payrol for the company
industry OEM's. Accountant- Core responsibility Release bank payments/beneficiaries Cashbook sign off FEC booking date BBEEE Affidavits, certified, Directors IS's Banking Details etc. Ensuring all Company details are up Coversions /Change of stationery year end roll over Dialy bank balances sent to Directors Adhoc Financial Control
services for cloud-based application development and deployment.
services for cloud-based application development and deployment. Web API : Ability to design and implement RESTful
when necessary, on the system, e.g.; loading new bank details, updating of driver's licenses and PRDP's
when necessary, on the system, e.g.; loading new bank details, updating of driver's licenses and PRDP's
the implementation phase to ensure successful deployment of solutions. 10. Monitor and analyse key performance
cold calling and lead sourcing are not part of the broker's daily responsibilities; leads are provided through
cold calling and lead sourcing are not part of the broker's daily responsibilities; leads are provided through