accounts payable and receivable
point-of-sale month end reports, · Processing cashbooks and bank reconciliations · Processing salary journals · Prepare
investments dealing with the opening of forex trading bank accounts.
Please
gift vouchers. Receiving of relevant income and banking of same. Manage all courier deliveries. General
vouchers.
gift vouchers. Receiving of relevant income and banking of same. Manage all courier deliveries. General
(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