Monthly management accounts Capturing Payments and Bank Reconciliations Compare actual vs budgeted expenditure
Monthly management accounts Capturing Payments and Bank Reconciliations Compare actual vs budgeted expenditure
and financial analysis. Liaise with auditors, banks, and other financial institutions. Qualifications:
invoices and payments. Reconciliation: Perform regular bank and account reconciliations to ensure accuracy and
us in the future including but not limited to, banking details, criminal history and credit reports /financial
us in the future including but not limited to, banking details, criminal history and credit reports /financial
receipts, sales invoices, purchase invoices. Perform bank reconciliations. Processing and reconciling of Petty
operations of the company. Responsibilities: Conduct bank reconciliations, generate VAT reports, administer
communication with our service providers (various banks, lessors, the Spar Group (Pty) Ltd. distribution