payroll statistical reports. Banking Administration: Administer banking activities, resolve queries, payroll-related journal entries. Bank Reconciliations: Prepare monthly payroll bank reconciliations. Control
Daily bank reconciliations. Monitor cash management daily to optimise interest. Management of processes payments. Management of insurance. Management of banking relationships. Review and submit VAT and tax returns
Daily bank reconciliations. Monitor cash management daily to optimise interest. Management of processes payments. Management of insurance. Management of banking relationships. Review and submit VAT and tax returns
IRP5’s. Prepare electronic transfer of salaries to bank accounts. Compile the vendor / check list. Minimum
of specialists in shares services and business banking sectors You will get the opportunity to be exposed
ideal candidate will prepare financial reports and bank reconciliations, and conduct audits. They will create
ideal candidate will prepare financial reports and bank reconciliations, and conduct audits. They will create
(not limited to): Reconciliations and reporting Bank allocations (Preferred) Posting on non-stock suppliers
individual will assume responsibility for reconciling bank accounts, compiling and generating comprehensive
(not limited to): Reconciliations and reporting Bank allocations (Preferred) Posting on non-stock suppliers