have experience in the design of bulk earthworks, streets, stormwater, water reticulation and sewer networks
have experience in the design of bulk earthworks, streets, storm water, water reticulation and sewer networks
Management Accounts Prepare Income Statement, Balance Sheet, Cash Flow Statements Analysing Cost Centre expense schedules Balance Sheet Reconciliations Analysing and reconciling all Balance Sheet items monthly. Fixed Preparation Year end audit journals. Final TB. Balance Sheet complete Statutory SARS Submissions VAT201, EMP201
Management Accounts Prepare Income Statement, Balance Sheet, Cash Flow Statements Analysing Cost Centre expense schedules Balance Sheet Reconciliations Analysing and reconciling all Balance Sheet items monthly. Fixed Preparation Year end audit journals. Final TB. Balance Sheet complete Statutory SARS Submissions VAT201, EMP201
operations Opening and Closing shifts Reservations sheets and waiter section allocations Bar and waiters busy days Cash-up's – Pilot / Cash-up's on excel sheet Daily floor management reports completed for service
captured correctly. Update the excel bank recon sheet daily (Dollar) Capture various bank statements and Create journals/sheets for freight/delivery provisions. Creating reversing journals S/sheet / working papers details on the customer control sheet. Confirm if all the details on the sheet is correct and complete it
(internally and externally). Updating of stock sheet. Reconciling of delivery notes. Acknowledgement templates to be recorded on the stock sheet and added to the finance sheet for invoicing purposes. General
(internally and externally). Updating of stock sheet. Reconciling of delivery notes. Acknowledgement templates to be recorded on the stock sheet and added to the finance sheet for invoicing purposes. General
have experience in the design of bulk earthworks, streets, storm water, water reticulation and sewer networks