Cashbook Processing Processing of all cash, credit card, and medical aid receipts in the cashbooks. Processing of all payments in the cashbooks and allocations in the purchases' ledger. Preparation of monthly bank reconciliations for all bank accounts. Reconciliations Daily reconciliation of all cli
Cashbook Processing Processing of all cash, credit card, and medical aid receipts in the cashbooks. Processing of all payments in the cashbooks and allocations in the purchases' ledger. Preparation of monthly bank reconciliations for all bank accounts. Reconciliations Daily reconciliation of all cli
Our Client is at the forefront of proactive commercial risk management. They specialize in delivering innovative solutions that empower businesses to navigate risks with confidence and precision. Our Client fosters a culture of excellence, continuous learning, and professional growth, providing this
Welcome to our Client, where innovation meets excellence in the insurance industry. Our Client pride themselves on fostering a dynamic and inclusive workplace that empowers their employees to excel and grow. You'll join a team of forward-thinking professionals dedicated to delivering exceptional ser
DIGGER has partnered with Our Client in the Insurance Industry - where excellence and innovation drive their mission to redefine the insurance landscape. As a leader in their industry, they are committed to fostering a dynamic and inclusive workplace that champions growth and professional developmen
are processed and timeously Review recoveries (municipals and other expenses) - where there are significant recoveries, take corrective measures Track all municipal queries and highlight impact on the income statement
are processed and timeously Review recoveries (municipals and other expenses) - where there are significant recoveries, take corrective measures Track all municipal queries and highlight impact on the income statement
processed and timeously
records and compliance with standards. They manage municipal accounts, prepare management reports, analyse
financial controls and procedures. Keep track of municipal accounts and reconciliations. Management Reporting: