financial transactions, such as purchases, expenses, sales revenue, invoices, and payments. Responsibilities reconciliations. Cash books for 2 companies ( 5 Bank Accounts) Authorizes local payments. Prepares and creditor's recons and loads payments in the banking system. Weekly sales reporting. Liaise with both internal receivable, including invoicing and payments Complete bank reconciliations and ensure accurate cash flow management
financial transactions, such as purchases, expenses, sales revenue, invoices, and payments. Responsibilities reconciliations. Cash books for 2 companies ( 5 Bank Accounts) Authorizes local payments. Prepares and creditor's recons and loads payments in the banking system. Weekly sales reporting. Liaise with both internal receivable, including invoicing and payments Complete bank reconciliations and ensure accurate cash flow management
candidate will have a proven track record of success in sales within the industry and a strong understanding of decisions to maximize earnings. Sales Budgets: Creating and managing sales budgets by setting revenue targets targets, allocating resources, and planning sales activities to meet organizational goals. Price Increase operations. Sales Reports, Margin Reports and Tracking, Promotions: Generating and analyzing sales and margin promotions to monitor business health and drive sales growth. Customer Relationships and Service: Building
candidate will have a proven track record of success in sales within the industry and a strong understanding of decisions to maximize earnings. Sales Budgets: Creating and managing sales budgets by setting revenue targets targets, allocating resources, and planning sales activities to meet organizational goals. Price Increase operations. Sales Reports, Margin Reports and Tracking, Promotions: Generating and analyzing sales and margin promotions to monitor business health and drive sales growth. Customer Relationships and Service: Building
accounts payable and receivable Process and reconcile bank transactions Prepare and analyze financial reports
Process and record financial transactions - Reconcile bank accounts and other financial accounts - Assist in
minimize risks - Identify market opportunities and execute trades across various asset classes - Collaborate - Manage trading operations, including trade execution, risk management, and compliance - Develop and
operations of the company. Responsibilities: Conduct bank reconciliations, generate VAT reports, administer
join their team , a leading pan-African investment bank . This full-time position will be based in Johannesburg
join their team , a leading pan-African investment bank . This full-time position will be based in Johannesburg