tasks Checking that bookkeepers have done their banking checks; Authorizing store expenditure after scrutinizing requirements); Releasing payments on electronic banking; Addressing client queries, staff queries and other drawdown lists for fund injection; Administrators on bank profiles, responsible for adding, removing or editing new store process; Involved with banks or FeverTree in obtaining bank guarantees for lease deposits for
following up on overdue accounts. Bank Reconciliation : Reconciling bank statements with company records
noting due dates Double-checking bank details on invoices or banking lists Insurance Submitting claims
noting due dates Double-checking bank details on invoices or banking lists Insurance Submitting claims
due dates
accounts payable and receivable
investments dealing with the opening of forex trading bank accounts.
Please
vouchers.
gift vouchers. Receiving of relevant income and banking of same. Manage all courier deliveries. General