PE is looking for a dynamic Internal sales and admin Clerk to assist in understanding the customers needs
each register run daily bank up etc. Oversees daily cash reconciliation and bank deposit procedures Communicate
each register run daily bank up etc. Oversees daily cash reconciliation and bank deposit procedures Communicate
duties include, but are not limited to the following: Bank reconciliations Capturing invoices and credit notes
(Invoices). Responsible for providing accurate banking details for payment purposes. Amending and maintaining
(Invoices). Responsible for providing accurate banking details for payment purposes. Amending and maintaining
reconciliations of financial accounts, including bank accounts, to ensure accuracy and identify discrepancies
on a daily basis Upload payments on Electronic banking Will be custodian for a number of companies Understand
industries: manufacturing, distribution, warehousing, banking, cash management. Experience with Syspro ERP system
and accounts receivable transactions. Reconcile bank statements and ensure financial accuracy. Inventory