receipt and payment journal, bank reconciliation General journals Balance Sheet Asset registers - additions on E-filing. Verification and reconciliation of General Ledger Accounts Liabilities - Additions to long accruals - Verification and reconciliation of General Ledger Accounts Shareholders Loan Accounts - Verification Verification and reconciliation of Ledger Accounts Other General Assisting with cost control Running monthly financial
supplier payments timely and submit for approval General Administration: •Keep records of customer and supplier
how the solution aligns with needs. EDUCATION General Education - Matric/SAQA Accredited Equivalent (Essential)
how the solution aligns with needs. EDUCATION General Education - Matric/SAQA Accredited Equivalent (Essential)
Wealth management/ CFP/ equivalent (Advantageous) General Experience 2 or more years' experience as a financial
Wealth management/ CFP/ equivalent (Advantageous) General Experience 2 or more years' experience as a financial