Responsibilities:
individual to fulfill the role of Finance Assistant. As a Finance Assistant, you will play a crucial role in providing Balance Generating Invoices and ensuring accuracy Assisting with tax compliance matters Managing filing systems
stock and non-stock purchases, credit notes, and price book checks. Verify receiving against invoices. especially those relating to raw materials, are priced correctly. Create supplier accounts on accounting Office Manager on Stock Management and Pricing processes. Assist the Office Manager with ensuring that
stock and non-stock purchases, credit notes, and price book checks. Verify receiving against invoices. especially those relating to raw materials, are priced correctly. Create supplier accounts on accounting Office Manager on Stock Management and Pricing processes. Assist the Office Manager with ensuring that
support and manage a team. Budgeting Prepare detailed Store P/L budgets by identifying meaningful trends and staff and management, analysing and interpreting store data Work closely with project lead to understand
support and manage a team. Budgeting Prepare detailed Store P/L budgets by identifying meaningful trends and staff and management, analysing and interpreting store data Work closely with project lead to understand
key accounts Duties include: Account Management Pricing and negotiation Promotion and Communication Customer
key accounts Duties include: Account Management Pricing and negotiation Promotion and Communication Customer
specific and voluntary consent to the processing and storing of such Personal Information by MPRTC and/or MPRTC's
training and exposure in a variety of industries. Assist and mentor junior clerks Review all accounting Draft financial statements Liaise with clients Assist with taxation matters Prepare and posting cheque queries General filing Assisting with reports Assisting with maintaining archives Assisting accountant with with any other functions as may be required Assisting with the overall financial reporting Daily processing Preparation of creditor reconciliations and payments Assisting with monthly financial reports, annual audit working