Equipment Cables removal, installation, multi-calbe transits. Installation and maintenance of cctv system.
transactions within all the client's depots (petty cash responsibilities, etc.) are recorded. Updating accounts of petty cash related responsibilities, which include the Accurate handing of physical cash on hand. preparation of relevant documents. Preparation of petty cash reconciliations. Accountable for adding and removing
receivable, including invoicing, collection and cash application activities and the timely management receivable components. To maintain and improve sustained cash flow through accurate, diligent and aggressive monitoring
System Requirements, Standing instructions
audits Tax and VAT Reconciliations Balance sheets Cash flow statements VAT APPLY NOW If you are interested
audits Tax and VAT Reconciliations Balance sheets Cash flow statements VAT APPLY NOW If you are interested
12:30
chronic applications with medical aids
Reconciliations
iation of creditors and debtors