and receipts in a timely manner.
financial data entry, reporting, and analysis. Ensure the accuracy and integrity of financial data within accounts payable and receivable processes. Reconcile bank statements and ensure all discrepancies are resolved
least 5 years' experience in a similar role handling Bank and Cashbook reconciliations. Extensive experience balancing and reconciliation functions. Experience in bank settlement reconciliations. Experience in Dispute Dispute Management Systems will be advantageous. Banking experience advantageous. Education and Qualifications:
least 5+ years experience in a similar role handling Bank and Cashbook reconciliations.
least 5 years' experience in a similar role handling Bank and Cashbook reconciliations. Extensive experience balancing and reconciliation functions. Experience in bank settlement reconciliations. Experience in Dispute Dispute Management Systems will be advantageous. Banking experience advantageous. Education and Qualifications:
salary, and general journals.
if invoices received are correct, invoice and capture all loads on the in-house operational programme
payments and approve other transactions in terms of bank mandates and delegation of authority.
Annual Budget Assist in Financial Statements Bank Payments Clean Criminal & Credit record - will
Annual Budget Assist in Financial Statements Bank Payments Clean Criminal & Credit record - will