Management of Debtors Daily capturing and updating of bank reconciliation Weekly petty cash reconciliation
responsible for the management of cashbooks and bank reconciliations. You must have experience with intercompany
plus minus 20 sectional title complexes Updating of bank statements on pastel Addressing e-mails on a daily
property finance structuring Experience in auditing, banking and / or sales and marketing advantageous The successful
property finance structuring Experience in auditing, banking and / or sales and marketing advantageous The successful
Assist with annual financial statement preparation. Bank reconciliations. Payroll administration Analysing
finances. Duties and Responsibilities: Processing of bank statements and supplier invoices VAT calculations
financial statements Analyse monthly financial reports Bank reconciliations HR and Payroll administration Minimum
financial statements Analyse monthly financial reports Bank reconciliations HR and Payroll administration Minimum
Assist with annual financial statement preparation. Bank reconciliations. Payroll administration Analysing