to balance sheet (debtors, creditors, invoicing, bank reconciliation) etc. Excellent communication and and eager to learn R15 000 The post Bookkeeper Admin Manager wanted appeared first on freerecruit.co
Admin Assistant to join medium enterprise. Training will be provided, MS Excel knowledge – some accounting required. This position will be mainly to provide admin support to Finance Manager on a daily basis. To consider your application unsuccessful. The post Admin Assistant, Nelspruit appeared first on freerecruit
Junior Bookkeeper/ Admin Support (JB4522) Sunninghill, Johannesburg (Office Based) R16 000 – R18 000 basic admin and marketing experience to support a team that offers outsourced bookkeeping services. The payable/receivable, invoices, and payments. Reconcile bank statements and key General Ledger accounts. Process Kontak Recruitment. The post Junior Bookkeeper/ Admin Support (JB4522) appeared first on freerecruit.co
return on investment (ROI). How you'll role As a Customer Success Manager, your role encompasses account generation expectations Ensuring timely delivery of services and proactively identifying and resolving any
Computer literate Good typing skills Admin (Petty Cash Reconciliations Banking duties Purchasing Reconciling
Reconciliation. Loading of online Banking system. General office admin including filing. R8 000 per month
processing and Bank reconciliation
Property Central system Finance Admin (Debtors/ Creditors/ Cashbook/ General Admin Tasks) Maintain Tenant Age reconciliations Daily download bank statements from ABSA Daily upload bank statements to MDA/MRI. Reconcile external auditors. Audit related queries. General Admin support Property maintenance and co-ordination Responsible feedback to maintenance team and customers Liaising with suppliers, service providers, contractors and subcontractors Ensure high level service levels are maintained through liaising with customers, service providers and maintenance
reconciliations, for review, and
cashbook via Standard Bank Business Online platform
- Accurately apportioning
payment and related correspondences
- Perform bank reconciliation on a weekly and monthly basis
- Administration of insurance-related matters and claims, from time to time
bank processing, fixed assets & insurance administration.
reconciliations, for review, and cashbook via Standard Bank Business Online platform - Accurately apportioning contracts, payment and related correspondences - Perform bank reconciliation on a weekly and monthly basis - Preparation reconciliation and inventory) - Administration of insurance-related matters and claims, from time to time daily ADHOC requirements i.e. bank processing, fixed assets & insurance administration. Attention to