reporting
accounting, or statistics, and a keen interest in transitioning toward project and infrastructure finance.
accurate manner. Reconcile bank statements and monitor cash flow to ensure accuracy and transparency. Assist including balance sheets, income statements, and cash flow statements. Support month-end and year-end
performance.
identify any discrepancies. Maintain a daily cash flow. Petty cash processing and reconciliations. Full VAT
Posting of daily cash receipts to sales ledger accounting software Reporting daily cash in/trade debtors
reconciliation
invoicing and statement delivery.
Cashbook Processing Processing of all cash, credit card, and medical aid receipts in the cashbooks. Processing Daily reconciliation of all clinic receipts/banking (cash, yoco and medical aid receipts) Daily reconciliations
Cashbook Processing Processing of all cash, credit card, and medical aid receipts in the cashbooks. Processing Daily reconciliation of all clinic receipts/banking (cash, yoco and medical aid receipts) Daily reconciliations