awareness in your assigned accounts within the company brand portfolio. In addition, the successful incumbent
Sales experience in a channel environment selling security, storage or networking software
o Strong
Monitoring security
Compliance and administration
Strategic initiatives
cheque books etc. ● Managing the petty cash and processing petty cash journals . ● Bookkeeping to balance
excellent new business delivery and quality through company service and sales standards. Identifying and improving stream mapping to define as-Is analysis and the transition to Future State Application of knowledge; technical
Forecasting
Job & Company Description:
The firm is one of the foremost business
multi-managed funds and solutions, shares and other securities.
Duties and Responsibilities:
companies by conducting thorough due diligence
Computer literate Good typing skills Admin (Petty Cash Reconciliations Banking duties Purchasing Reconciling
ank and Cash: • Capturing of bank statements on a daily basis (all bank accounts including call accounts) accounts on a daily basis • Reconciliation of petty cash accounts Fixed Assets: • Updating of fixed asset Raising of bad debt provision journals according to company guidelines • Preparing a schedule of bad debts
Responsible for Audits Financial reporting Bank and Cash: • Capturing of bank statements on a daily basis accounts on a daily basis • Reconciliation of petty cash accounts Fixed Assets: • Updating of fixed asset Raising of bad debt provision journals according to company guidelines • Preparing a schedule of bad debts
policies, systems, procedures and activities of the company While performing the duties of this job,
the
monthly, quarterly and annual reports for the company, and the Auditor General
? Contract Duration: for the company and its presentation to the Finance and Investment Sub-Committee of the company Board.
Provide
Provide direction towards the management of company financial and accounting systems.
Ensure creation, production and distribution of all the company’s Financial and Accounting Reports to the appropriate