cash-up batches per day, per company. Printing supporting documentation – consolidated cash-up reports these sources of information in order to: Verify cash-up per cashier against their stated ‘overs/unders' interrogating the expected credit card deposits as per each cash-up worksheet per day. Balance the instant money deposits that has been updated and reconciled with the cash-up worksheet per day. Verify the Intellimali and Cellbux service providers' web-based dashboards and the cash-up worksheet per day. Verify the amount debited from
cash-up batches per day, per company. Printing supporting documentation – consolidated cash-up reports these sources of information in order to: Verify cash-up per cashier against their stated ‘overs/unders' interrogating the expected credit card deposits as per each cash-up worksheet per day. Balance the instant money deposits that has been updated and reconciled with the cash-up worksheet per day. Verify the Intellimali and Cellbux service providers' web-based dashboards and the cash-up worksheet per day. Verify the amount debited from
you a go-getter, motivated to achieve results and up for a challenge?
Responsibilities:
● business
● Sales and relationship building
● Follow up on leads and close deals
● Adopt the key interface
process until finalization
Bookkeeper to join the Port Elizabeth team, · Bookkeeping up to Trial Balance for at least 8 entities. · Processing register · Full debtors function · Monitor and follow up of stock count variances, · Reconciliation of VAT
Description:
funds. Preparation of debtors statements. Follow up of debt over pre-agreed debtors terms. Collection are long outstanding. Adequate and prompt follow up of outstanding fund. Petty Cash Reconciliation Upkeep operations Liaise with all departments to follow up on administrative queries Please note only shortlisted
funds. Preparation of debtors statements. Follow up of debt over pre-agreed debtors terms. Collection are long outstanding. Adequate and prompt follow up of outstanding fund. Petty Cash Reconciliation Upkeep operations Liaise with all departments to follow up on administrative queries Please note only shortlisted
with micro and string inverters as well as setting up monitoring systems AREP (Association for Renewable penetration, and install all relative equipment Set up solar monitoring system Maintain high levels of quality
good, contactable references Experience with: Books up to trial balance level Cashbook control and reconciliations good, contactable references Experience with: Books up to trial balance level Cashbook control and reconciliations