invoices are tracked and followed up as necessary. Bank Reconciliation: You will play a role in monitoring financial transactions and reconciling bank statements. Reconciling bank statements is an essential task to are no discrepancies between internal records and bank statements. Financial Reporting: Assisting in the
invoices are tracked and followed up as necessary. Bank Reconciliation: You will play a role in monitoring financial transactions and reconciling bank statements. Reconciling bank statements is an essential task to are no discrepancies between internal records and bank statements. Financial Reporting: Assisting in the
External Service Providers branches and Agents nationally, ensuring that the correct types and quantities External Service Providers branches or Agents nationally, sorting these into the correct areas in Stores Stores Monitor the stockholding of all spares nationally to ensure that orders for the replenishment of Compile a report of all the stock counts done nationally and submit this to management Ensure that Stores
External Service Providers branches and Agents nationally, ensuring that the correct types and quantities External Service Providers branches or Agents nationally, sorting these into the correct areas in Stores Stores Monitor the stockholding of all spares nationally to ensure that orders for the replenishment of Compile a report of all the stock counts done nationally and submit this to management Ensure that Stores
progress of the cases where applicable Performing First Line Troubleshooting (FLT) according to documented documented processes and procedures and ensuring First Call Resolution (FCR) Escalating cases to other departments
progress of the cases where applicable Performing First Line Troubleshooting (FLT) according to documented documented processes and procedures and ensuring First Call Resolution (FCR) Escalating cases to other departments
employee inquiries regarding payroll issues Reconcile bank statements and payroll reports Generate payroll
employee inquiries regarding payroll issues Reconcile bank statements and payroll reports Generate payroll
full reconciliation between cash collections per bank statements and remittance advices received, including
full reconciliation between cash collections per bank statements and remittance advices received, including