Timesheet reconciliation
Duties: Generate invoices. Supplier capture and Reconciliation. Administrative duties. Data Capturing and
will include, but not be limited to: Daily reconciliations of stock Financing of stock Sales administration
meetings, seminars and training cessions.
recoveries
Attend meetings, seminars and training sessions. Reconciliation of purchases and expenses paid. Attend to payment
Attend meetings, seminars and training sessions. Reconciliation of purchases and expenses paid. Attend to payment
Liaising with staff, suppliers, and clients Weekly reconciliation of the company credit card by means of a bank
maintain the branch's cashbooks including reconciliations on a specific timeline as directed Maintain
maintain the branch's cashbooks including reconciliations on a specific timeline as directed. Maintain