accounting team, Fixed Assets Accounting team & Bank Processing team Benchmark processes against industry
Cashbook Prepare and submit monthly cashbook and bank reconciliation Payroll & Other Recoveries Prepare
other returns, including but not limited to: CIPC, banks, workmen's compensation, UIF, SDL etc. Prepare all
creditors and debtors' accounts and the company's bank accounts. Compile and prepare all SARS payments
creditors and debtors' accounts and the company's bank accounts. Compile and prepare all SARS payments
Foreign) – Preparing payments daily/weekly/monthly Bank Reconciliation (Weekly and Monthly) Other reconciliations
dynamic IT team at one of South Africa's leading banks. The successful candidate will be responsible for
with the company bankers. • Ensure that adequate banking facilities are in place to align with the growth
utilities suppliers. ➢Month end processing including bank reconciliations. ➢Management and payment of VAT
with the company bankers. Ensure that adequate banking facilities are in place to align with the growth