end file.
alignment with strategic objectives of the Land Bank that will identify high potential individuals through troduce a Talent Mobility framework in the Land Bank
/>Design of security systems and solution testing
Manage training academy
Training of installers
Escalate issues to management. Month end reporting. Banking allocations/remittances. Reconciliations of customer
Escalate issues to management. Month end reporting. Banking allocations/remittances. Reconciliations of customer
Escalate issues to management. Month end reporting. Banking allocations/remittances. Reconciliations of customer
accounting system. Handle cashbook entries and complete bank reconciliations. Check the accuracy of expense claims supplier and debtor invoices, cashbook entries, and bank reconciliations. Ability to provide accurate financial
accounting system. Handle cashbook entries and complete bank reconciliations. Check the accuracy of expense claims supplier and debtor invoices, cashbook entries, and bank reconciliations. Ability to provide accurate financial
and support timely collections. Accurate Monthly Bank Reconciliations: Financial Reporting: Prepare and and support timely collections. Accurate Monthly Bank Reconciliations: Financial Reporting: Prepare and
Responsible for utility master data changes. E.g. Bank details and ref number Meeting customer's service abreast with accounting principles, legislation, banking requirements and ensure compliance with company