accounting.
beneficiaries list on banking system
Responsible for managing several entities Process all bank statements, supplier and journal entries up to Trial monthly financial reports Process payments on online banking Process and reconcile supplier accounts Reconcile
and financial analysis. Liaise with auditors, banks, and other financial institutions. Qualifications: information contact: Camryn Mearns Specialist Consultant: Finance cmearnsnetworkfinance.co.za
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Submission/Invoice, Tax Returns/Reconciliations of bank accounts, budgets and forecasts and IFRS through
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Reconciliations
Bank
Credit cards
Debtors management
Execute
capture & follow-up Electronic payments Monthly bank and cashbook reconciliations VAT reconciliation
finance structuring
functions. Act as a Bank Signatory, overseeing EFT payments and updating creditor banking details. Approve