(including petty cash postings)
resource procurement E-business, m-business, m-banking and e-government related transactions and services
receipts, and payments. - Process and reconcile bank statements, credit card statements, and various
determined based on qualifications, applicable banking experience, and previous earnings.
receipts, and payments. - Process and reconcile bank statements, credit card statements, and various
resource procurement E-business, m-business, m-banking and e-government related transactions and services
both ends of the detail spectrum. Transactional banking products, and experience in enterprise credit,
specific documentation Journal duty at weekends and bank holidays Checking and follow up of work reports
challenges. Responsibilities Checking the cash up and banking details daily Assist with customer refunds. Ensure
book / petty cash book receipt and payment journal, bank reconciliation General journals Balance Sheet Asset