reconciliation Manage Daily Banking Issuing Credit notes Managing customer enquiries and account disputes
WITH ALL ISSUES AND PROVIDE FEEDBACK. MAINTAIN LATEST VERSION OF STAFF ADMINISTRATION SHEETS MANAGE TECHNICAL TECHNICAL ISSUES RELATING TO INTERNET, OFFICE PC BACKUPS ETC. MANAGE COMPANY INSURANCE RENEWALS, CHANGES
To manage credit and issues related to legal compliance (National Credit Act) Approval of new member applications and ensure all documentation is authenticated. Check affordability to set up a franchise store. Check cash flow projections to ensure profitability of the store. Securities available for
Concretex is a leading precast concrete manufacturing and construction company in South Africa specialising in housing, sanitation and walling systems. Our experience as both manufacturers and contractors allows us to not only create products that address the needs of the end user but also simplify
discrepancies and disputes Issuing monthly client statements Supporting management accounts, accruals, cost
discrepancies and disputes Issuing monthly client statements Supporting management accounts, accruals, cost
Our client is a market leader in the design, engineering, supply, and assembly of award-winning structures for luxury resorts globally. They are expanding their finance team to accommodate the growing needs of the business and are looking for a finance professional who is driven, dedicated and dynam
Assist with timeous compilation and issuing of our FIVE entities Management Accounts (PF, DUIN, SPP, VIVA,
high performing team in issues that relate to finances, treasury, risk management as well as information
Must live close to Tableview and be familiar with Xero and Hubspot Review and reconcile daily transactions in the general ledger. Ensure accuracy of journal entries and postings. Monitor cash flow and update cash flow forecasts. Review bank reconciliations. Prepare daily financial reports for manage