The purpose of this role is to ensure all financial transactions are recorded and reported accurately and timeously. Responsibilities: Preparation and Submission of Monthly and Quarterly Management Accounts, making use of excel formulars and variance analysis. Review of Trial Balance ensuring comple
Control of Supplier Accounts as allocated to ensure that Creditors is captured and reported accurately. Process accounts and incoming payments in compliance with financial policies and procedures. Responsibilities: Trade Creditors: Reconciliation of Supplier accounts Allocation of supplier payments
suitable candidates must live in are Durban central, Musgrave, Windermere, Amanzimtoti, Westville, Westwood
management reporting hierarchies, GL cost centre change and cost centre ownership processes
externally with our Clients. Monitor and manage contact centre demand across all campaigns on a daily basis. Balancing thinker 3-6 months experience working within a Call Centre of a large operation (ideally in an analyst type
responsibilities Experience working in an inbound Call Centre environment. Insurance Claims experience. Proficient
responsibilities Experience working in an inbound Call Centre environment. Insurance Claims experience. Proficient
the Prudential Authority, Financial Intelligence Centre, National Credit Regulator and Information Regulatory
the Prudential Authority, Financial Intelligence Centre, National Credit Regulator and Information Regulatory
the Prudential Authority, Financial Intelligence Centre, National Credit Regulator and Information Regulator