relevant customers All daily and monthly Standard Bank EFT payments for MB and MC and the posting of the payments onto Kerridge Ensure that Quality Assurance is part of the workflow. All work received must be checked Admin Manager / Accountant Prepares money to be banked on a daily basis - CASHIER Accurate cash posting Deductions - CASHIER Posting of transactions on the Bank Statement on Kerridge – ADMIN MANAGER / ACCOUNTANT
relevant, up-to date and accurate information at all times. Conduct Financial Administration Advise and assist up-to-date and accurate at all times. Monitor the usage of vehicle and parts stock management systems and when necessary. Report by exception in vehicle and parts stock levels and debtors' days. Ensure the dealerships purchase orders. Ensure that the organization's banking and cash management procedures are adhered to and