information Daily / Weekly tasks Checking that bookkeepers have done their banking checks; Authorizing store expenditure Monthly tasks Checking salaries, incentives and locum salaries; Performing/checking incentive calculations required stores; Obtaining and checking loan amortizations for loans, car finance, etc; Reviewing store taking them through A-Z of the bookkeeping process; Checking the PAYE/VAT recons done by the bookkeepers. Authorizing bank guarantees for lease deposits for stores, Checking provisional tax calculations from the auditors;
and statistics •Prepare and balance inter-company loan account and invoice recharges •Recording and reconciling wish to be considered for this opportunity, please apply directly to the advertisement. Should you not hear
and statistics •Prepare and balance inter-company loan account and invoice recharges •Recording and reconciling wish to be considered for this opportunity, please apply directly to the advertisement. Should you not hear
to daily queries at store level. Completion of credit application and other forms. Fixed Assets Maintenance daybooks daily and follow-up of over/under banking. Checking of daybooks and daily sales summaries and follow-up
headers, hours etc are complete Process invoices and credit notes Manage back charges for dumping and accommodation
wish to be considered for this opportunity, please apply directly to the advertisement. Should you not hear
wish to be considered for this opportunity, please apply directly to the advertisement. Should you not hear