for a wide range of financial activities including bank reconciliation, VAT submissions, cash flow management Perform bank reconciliation including cheque, call, salary, and 48-hour transactions Import bank statements
including sales, expenses, payments, cash drops, daily banking etc., and Ensuring that all SARS (including EMP201
documentation on a timely basis whilst adhering to the Banks policies and procedures KEY PERFORMANCE AREAS P
and compliance. Perform secure and confidential banking Hands on with Key Accounts as well as communication
Customer Service experience Some Insurance or banking experience would be beneficial MUST have excellent
Customer Service experience Some Insurance or banking experience would be beneficial MUST have excellent
Recording all bank transactions, including petty cash where applicable. Reconciling bank accounts and
Recording all bank transactions, including petty cash where applicable. Reconciling bank accounts and
international operations. You'll collaborate closely with banks, manage treasury functions, and steer the financial
the Operations team Debtors and Creditors Function Bank recon VAT201 EMP201 and EMP501 Employment Equity