recording and maintaining all business’ financial transactions, such as purchases, expenses, sales revenue reconciling differences, correct allocations of transactions. Excellent verbal and written communication Responsibilities: Import bank transactions, matching the banking transactions. Perform bank reconciliation sales from POS to Acumatica, match the banking transactions and follow up on differences in debtors clearing
recording and maintaining a business’ financial transactions, such as purchases, expenses, sales revenue statements to be run from the banks. Weekly bank transactions to be uploaded. All accounts to sweep into main main account daily. Map all the unmapped transactions and update the batches. Perform weekly bank reconciliations
above and to the registration of Deeds Office transactions
within the plant to ensure that all inventory transactions are performed correctly and on a timely basis BOM and Systems Specialist to ensure items are transacting correctly.
products, pricing, and availability Process sales transactions through POS (Point of Sale) system Maintain
products, pricing, and availability Process sales transactions through POS (Point of Sale) system Maintain
pricing, and availability
maintenance to customers.
Maintaining Records: Keep accurate records of rental transactions, customer information, and vehicle status. Reporting:
and maintenance to customers. Process sales transactions accurately and efficiently, including handling