the following duties and responsibilities: Ensure bank transactions are reconciled daily Reconcile cashbooks
the following duties and responsibilities: Ensure bank transactions are reconciled daily Reconcile cashbooks
function of the funds Operational duties include: Banking Accounts Reporting Investments SARS / EMP201 &
headlease invoices, including the verification of bank details and the onboarding of new head leases. Handle
seeking an exciting opportunity to revolutionize the banking industry? Join a dynamic team at a leading financial
seeking an exciting opportunity to revolutionize the banking industry? Join a dynamic team at a leading financial
receipts, sales invoices, purchase invoices • Perform bank reconciliations • Processing and reconciling of
processing financial transactions. Regularly reconcile bank statements to verify financial accuracy. Identify
reconciliations and submission on e-filing Processing of bank statements Drafting of financial statements Review
company results. Managing working relationships with Banks on ensuring compliance and management of relevant