invoices.
creditor invoice payments via the appropriate banking platform Reconciling creditor accounts and addressing invoices Recording debtor payments/receipts from bank statements Reconciling debtor accounts and addressing
reports as required Processing bank deposits and disbursements Performing bank reconciliations Preparing trial
of the organization, together with control of all bank accounts, petty cash floats and organizational debit loaded accurately and timeously on the various banking platforms
reports as required Processing bank deposits and disbursements Performing bank reconciliations Preparing trial
creditor invoice payments via the appropriate banking platform Reconciling creditor accounts and addressing invoices Recording debtor payments/receipts from bank statements Reconciling debtor accounts and addressing
salary, and general journals.
creditor invoice payments via the appropriate banking platform
for. The position provides a broad spectrum from banking, disinvestments, and planning to annual financial in Cape Town as an extension of the JHB office. Banking Disinvestments Investments Prepare annual financial
Creditors reconciliations Load payment on online banking Bank processing & reconciliations FIC reporting