Process overhead expenses. Process payments in the accounting system. Perform VAT reconciliations and returns returns. Reconcile monthly salary control accounts on the balance sheet. Complete monthly ROE reports. Maintain Verify customer payments. Assist with liaising with banks for queries. Assist in budget preparation. Prepare audit files, compile and review reconciliations. Assist auditors with queries. Arrange foreign exchange travel purposes. Compare charges between banks. Assist with tenant queries. Handle cash to master transactions
to Management Assist with inventory control Assisting with Supplier Evaluations Assist with project budget
to Management Assist with inventory control Assisting with Supplier Evaluations Assist with project budget
and monitor project cost calculations. Supply and assist management with sales forecasts based on the tenders growth opportunities and initiating new projects. Assist customer service with additional duties where required
processes. Reconcile and maintain payroll-related accounts. Maintain the integrity of personnel data across Third Party Payment Reconciliation. Payroll Accounting and Financial Administration. Matric. Relevant
must be able to enhance customer satisfaction, assist with meeting sales and profitability goals, whilst
must be able to enhance customer satisfaction, assist with meeting sales and profitability goals, whilst
advantageous. Experience in supply chain management / account executive experience in the Metals / Recycling and negotiations and management of technical key accounts. Research and analysis capabilities. Project management