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- ...Financial Accounting & Reporting: Record all financial transactions (sales, purchases, payments, receipts, and journals) accurately and promptly in the ERP system. Prepare monthly bank reconciliations using the ERP system. Assist in preparing weekly, monthly...
- ...environment. Key Responsibilities Accurately record all financial transactions, including sales, purchases, payments, receipts, and journals in the ERP system. Prepare monthly bank reconciliations and support the preparation of weekly, monthly, quarterly, and yearly...
- ...1 Financial Accounting & Reporting Record all financial transactions (sales, purchases, payments, receipts, and journal entries) in the ERP system on a timely basis Prepare monthly bank reconciliations in ERP system Assist in the preparation of weekly, monthly...
- ...operations. General Duties & Responsibilities Payment Processing: Maintain and update self on the online payment system on the bank websites as designed Vendor Management: Negotiate payments terms when necessary Reporting: Assist in the preparation of...
- ...of customer interactions, feedback, and transactions. Follow up on customer requests to ensure timely resolution. Support the sales and operations team with customer-related tasks. Ensure compliance with company procedures and service standards. Requirements...
- ...Duties: Process payments via cash, POS, or transfers. Issue receipts and maintain financial accountability. Reconcile daily sales and hand over funds to the accounts or management team. Quality and Service Assurance: Inspect finished laundry items before...
- ...ensuring titles are properly maintained and protected, statutory payments are made and records updated, and supporting the lease or sale of unused properties. Other relevant assignments that may be assigned by members of the Board and management leadership team....
