Responsibilities: Manage the cash book and handle multiple bank reconciliations Oversee accounts payable, ensuring Recruitment. Manage the cash book and handle multiple bank reconciliations Oversee accounts payable, ensuring
processes. They will ensure accurate reconciliations of bank statements to balance sheet and maintenance of the
processes. They will ensure accurate reconciliations of bank statements to balance sheet and maintenance of the
accurate allocation of all expenses and verify banking details on invoices. Match invoices with corresponding
accurate allocation of all expenses and verify banking details on invoices. Match invoices with corresponding
accurate allocation of all expenses and verify banking details on invoices.
integrity checks on the accounting system Daily bank recon reviews Assisting with implementation, maintenance
Reconcile property operating and security deposit bank accounts. Determine and record operating expense
information; Establish and maintain relationships with the banks and IRBA; Provide advice and support to provincial
functions of hospitals in line with relevant standards and following good corporate governanceApply