The incumbent is responsible for the preparation, delivery and collection of the blood bank's hampers, routine bio-hazardous waste disposal and cleaning duties according to relevant SOPs. KPA 1 BRB/Blood Hamper Preparation, Collection, Packing Received Stock and Stock Count 1.1. Prepare and collect
Job & Company Description:
My client is in the energy-renewable space been around for more than 20 years, with an international footprint as well.
This role reports to the Finance Manager, some of the responsibilities are the preparation of monthly managem
(Debtors, Creditors, Cash, Inventory).
Innovative bank Description Wealth Assistant - Eastern Cape Innovative Bank seeks diligent individual for
Innovative bank Description Wealth Assistant - Eastern Cape Innovative Bank seeks diligent individual for
Our client is looking for a Cash Book Clerk to join their team. Duties include: Accurate processing daily cashbooks Preparing daily and monthly bank reconciliations Assisting with general admin and reconciliations such as fuel cards, reimbursement claims and petty cast etc Accurate and on time weekl
Responsibilities: As part of a team of Assistant Accountants-Banking, this role will be responsible for the journal adjustments for all divisions. Assist R2R Team Manager in bank reconciliations preparation and feedback Responsibilities: As part of a team of Assistant Accountants-Banking, this role will be responsible for the journal adjustments for all divisions. Assist R2R Team Manager in bank reconciliations preparation and feedback
Responsibilities: As part of a team of Assistant Accountants-Banking, this role will be responsible for the journal adjustments for all divisions. Assist R2R Team Manager in bank reconciliations preparation and feedback Responsibilities: As part of a team of Assistant Accountants-Banking, this role will be responsible for the journal adjustments for all divisions. Assist R2R Team Manager in bank reconciliations preparation and feedback
treasury journals and month end reconciliations Assist with banking administration, maintain and update signatory capture foreign payments Assist in the administration and reconciliation of banks Prepare of the Rate Allocation