reconciliations etc.);
payments in the cashbook
accurate timely manner Reconciliations: Assist with bank reconciliations and ensure descrepancies are reosvled
•Accurate financial reporting & analysis •All bank related activities •Monthly creditors reconciliations
monthly reports. Assist in the administration of bank applications, KYCs, and other administrative tasks
procedures, Assist with the daily reconciliation of bank records, First authorization and loading of payments
accounts receivables' data Prepare bills, invoices and bank deposits Reconcile the accounts receivable ledger
•Accurate financial reporting & analysis •All bank related activities •Monthly creditors reconciliations
monthly reports. Assist in the administration of bank applications, KYCs, and other administrative tasks