Solution products. They are looking for a Financial Accountant to join their team. Daily Log into Std Bank and Journals Process the Cashbook (Std Bank Current Account) Reconcile Cashbook Update Selling Prices as needed payments Weekly Create Weekly Sales Report Once a month General Loan Account Recons Depreciation Journal Suppliers with whom we have 30 day accounts Break Down Fleet account for processing Break Down Std Bank Do a margin exercise and update Sales Price lists Send monthly Sales report to management Send monthly
financial transactions in a timely and accurate manner. Key Responsibilities: Cash Handling: Receive and process Answer customer inquiries regarding transactions, accounts, and other related services. Resolve customer equivalent; additional education in finance, accounting, or related field is a plus. Previous experience interpersonal skills. Proficiency in using point-of-sale (POS) systems and other financial software. High
solid relationships with all managers and other key staff within the Scheme. Continuous development and operational issues. Internal audit facilitation and accountability of findings Monitor DOI and Ethics Committee
solid relationships with all managers and other key staff within the Scheme. Continuous development and operational issues. Internal audit facilitation and accountability of findings Monitor DOI and Ethics Committee
placements and revenue generation. Track and analyze key performance metrics to measure progress and identify
placements and revenue generation. Track and analyze key performance metrics to measure progress and identify
information to support them in decision making on key business imperatives. Ensure compliance with King
information to support them in decision making on key business imperatives. Ensure compliance with King