seats/Ensure that all extras are noted on the check sheet upon delivery and collection. Refuelling of vehicles and closed on wheels. Log sheets were completed accurately, and check sheets opened and closed correctly documentation is carried for all collections Inspection sheets to be carried for vehicles from panel shops. Schedule
seats/Ensure that all extras are noted on the check sheet upon delivery and collection. Refuelling of vehicles and closed on wheels. Log sheets were completed accurately, and check sheets opened and closed correctly documentation is carried for all collections Inspection sheets to be carried for vehicles from panel shops. Schedule
purchase orders, waybills, manifests, and trip sheets and ensuring that quantities, weights (actual or against purchase orders, Waybills, Manifests and Trip sheets with reference to quantities, weights (actual or Financial reporting deadlines. Assist with balance sheet recons during the month and the finalization at
purchase orders, waybills, manifests, and trip sheets and ensuring that quantities, weights (actual or against purchase orders, Waybills, Manifests and Trip sheets with reference to quantities, weights (actual or Financial reporting deadlines. Assist with balance sheet recons during the month and the finalization at
financial statement files Reconcile all balance sheet accounts Reconcile VAT reports and submit VAT returns
reconciliation
accounts for various entities, including balance sheets, income statements, and accompanying schedules
Detailed interpretation of cash flows and balance sheet. Understand and update accounting policies if required
including profit and loss statements, balance sheets, and cash flow statements.
accounts for various entities, including balance sheets, income statements, and accompanying schedules