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Search Results: 27 vacancies
- ...and receive customer’s payment. Perform daily branch admin and assist customers efficiently. Manage payments, float balancing, and banking preparation. Handle quotes, invoices, job cards, and certificates accurately. Manage walk-in customers, calls, and direct complaints...
- ...operations. POSITION INFO: Key Responsibilities: Process journals and maintain financial records Perform reconciliations (bank, intercompany, credit cards) Manage asset register and depreciation Handle royalties, petty cash, and staff files Submit...
- ...management. Handle finance-related responsibilities: managing e-wallets, daily cashbook receipt mapping, daily cash-ups, and weekly bank deposits. Become proficient in Sage Evolution software and log comprehensive client interaction notes. Conduct daily debt...
- ...workshop administration experience ~ Knowledge of SAP system would be advantageous ~ Cashier experience - balance and manage float, banking preparation ~ Handle quotes, job cards and certificates accurately ~ Manage walk-in and call-in customers ~ Process quotes,...
- ...payback periods. Tendering & Financing (10%) : Structure commercial offers, Incoterms, and payment terms. Interface with DFIs, banks, and leasing firms to enable EPC and PPA-based project models. Stakeholder Engagement (10%) : Cultivate relationships with regulatory...
- ...yield simulations , and deliver LCOE/IRR/payback models. Financing & Structuring (10%) – Engage with DFIs, leasing firms, and banks to structure CAPEX, BOOT, or PPA models and facilitate export credit arrangements. Stakeholder Engagement (10%) – Build and maintain...
- ...organized reception area. Order, maintain, and distribute printing and stationary supplies. Filing of daily delivery notes and invoices Support the bank audit process by assisting with documentation. Provide general office support to employees as needed...
- ...Rebates. Processing of prepared Credit Notes/Debit Notes/Non-Stock Invoices. Follow-up on outstanding claims/queries. Coding of bank statements. Doing reconciliations on outstanding accounts. Sending of final demands. Lodging claims for potential bad debts...
- ...Receivables & Customer ledger processing and reconciliations Account Payables & Supplier ledger processing and reconciliations Bank and payment preparation and reconciliations. Foreign Exchange Transactions Credit card statements and expense claim...
- ...Implementing and analyzing risk procurements for granting credit Concluding credit transactions and making recommendations to all major banks Assisting Business Development Officer in obtaining targeted sales volume and fee income by providing an effective sales support...
- ...Monitoring and forecasting cash flow Managing the general ledger and ensuring accurate recording of financial transactions Performing bank reconciliations and managing accounts payable and receivable processes Assisting with budgeting and financial planning...
- ...team. Responsibilities: Record and process daily financial transactions Manage accounts payable and receivable Perform bank reconciliations and ensure proper documentation Prepare and maintain accurate financial reports Assist with month-end and year...
- ...ledgers to general ledger – stock, accounts payable, accounts receivable etc. Prepare and present monthly trade reports Monitor banking and make payments as required (including reviewing and paying monthly trade creditors) Preparing audit file and assisting...
- ...Compilation of Annual Financial Statements on Caseware Compiling working papers Detailed knowledge of Evolution (capturing, bank recons, VAT, stock) Monthly processing of a portfolio of clients Compiling monthly management accounts VAT Recons and submission...
- ...all payments for release by the Financial Manager (FM) and Managing Director (MD). Capture transactions in the cash book for all bank accounts. Perform monthly bank reconciliations for all bank accounts. Reconcile and balance monthly inter-company accounts....
- ...Incoterms, negotiate contractual terms, and manage bid timelines through award. 4. Financing Coordination (10%) ~ Coordinate with local banks, development finance institutions, and leasing partners (e.g., Afreximbank) to structure project financing or blended-finance...
- ...business planning and decision-making processes Import and Export compliance Asset Register Strong Forex experience and maintain banking relationships Monitor and manage cash flow, and banking relationships to optimize working capital and minimize financial risks...
- ...in financial management Experience in a manufacturing environment with exposure to standard costing Experience with Standard Bank BOL and Finnivo Experience working with confidential information and corporate governance Systems & Tools: SYSPRO (essential...
- ...leadership, assertiveness, and decision-making abilities Key Competencies • In-depth understanding of health & safety regulations in banking/industrial settings • Risk assessment, incident investigation, and corrective action planning • Data-driven approach to safety...
- ...financial records and general ledger. Manage daily financial transactions, including accounts payable and receivable. Reconcile bank statements and supplier accounts. Ensure compliance with tax regulations (VAT, PAYE, and other statutory requirements). 2....