cash book transactions
journal entries for all receipts, payments, and other financial transactions Posting journal entries to ledger
journal entries for all receipts, payments, and other financial transactions Posting journal entries to ledger
payable Cash flow: Manage payments, allowances, levels of stock distribution Budget: Help formalise and papers for all the transaction and capture journal entries on Omni Engage in any adhoc admin duties and requirements relationship building skills Attention to detail and high level of accuracy Excellent administrative and organizational FMCG experience an advantage Must possess high levels of integrity To be discussed
financial transactions, while maintaining a high level of client satisfaction. The management of outstanding
effectively with stakeholders and customers at all levels. Thorough understanding of regulatory requirements
effectively with stakeholders and customers at all levels. Thorough understanding of regulatory requirements