oversee financial assets, manage weekly/monthly bank payments, salary reports, and ensure regulatory
returns. Bank & Cash: •Processing of Cash book postings – receipts, payments from bank statements statements on Pastel. •Reconciliation of Bank statements / Cash book. •Petty cash reconciliation and reporting
our dynamic team and help us revolutionize the bank's technical API economy. You'll work within our cutting-edge
the reconciliation process. Upload and allocate bank entries to Cashbooks. Monthly reconciling of Cashbooks
action footprint. Our clients include commercial banks and corporate entities. Our employment demographic
action footprint. Our clients include commercial banks and corporate entities. Our employment demographic