records and manage EMP, VAT submissions, and reconciliations. Serve as the primary point of contact for experience in EMP, VAT submissions, and financial reconciliations. Proficiency in Xero is advantageous. Proven
records and manage EMP, VAT submissions, and reconciliations.
electronic payments Banking / reconciling Sending reconciliation statements monthly to clients Following up
accurate Capex trackers.
bookkeeping role. Previous experience with reconciliations. Experience in a stock related function advantageous
data to ensure data integrity
Office Manage Petty Banking for Cash Credit Card reconciliation Assist with monthly stock counts for spares corrections. Managing Monthly stock take and reconciliation of stock in all equipment stores. Technical of payments communicated to Head Office for reconciliation purposes. Communicate the payment terms to
Office Manage Petty Banking for Cash Credit Card reconciliation Assist with monthly stock counts for spares corrections. Managing Monthly stock take and reconciliation of stock in all equipment stores. Technical of payments communicated to Head Office for reconciliation purposes. Communicate the payment terms to
there is firm control of department spend and reconciliation Ensure that all Race Day transactions are accounted