Description: Daily reconciling of supplier invoice to GRVs (Good Received Vouchers) and Cashbook Checking Vat and GL allocation codes are correct Daily Capturing of Supplier invoices onto Pastel. Reconciling weekly and monthly supplier accounts ...
a day ago
Description: Technical Competencies and responsibilities General Administrative duties Creditors list stock items and categories, capture and process invoices, R&Ds, credit notes, Creditors reconciliations Debtors processing and reconciliations Manage ...
4 days ago
Description: Technical Competencies & Experience: Bookkeeping & Financial Management: Keep accurate financial records, including bank reconciliations, invoices & AP & AR Oversee daily office activities to make sure business operations run smoothly. Keep ...
15 days ago
Description: Technical Competencies & Experience: Bookkeeping & Financial Management: Keep accurate financial records, including bank reconciliations, invoices & AP & AR Oversee daily office activities to make sure business operations run smoothly. Keep ...
16 days ago
Description: Technical Competencies and responsibilities General Administrative duties Creditors list stock items and categories, capture and process invoices, R&Ds, credit notes, Creditors reconciliations Debtors processing and reconciliations Manage ...
25 days ago
Description: Mission To build a global finance centre of excellence delivering operational insights that enable us to achieve an excellent return on investment. Accountabilities KPI's Reconciliation of accounts Timely processing Monthly deadlines met ...
3 years ago