Reference: CPT006889-ST-1 PARALEGAL - NEDBANK BOND CENTRE (RETAIL) PARALEGAL - FNB BOND CENTRE (DEVELOPMENTS)
side thereof AJS experience, and Excel advanced Capturing receipts Trust journals Payments by use of requisitions reconciliations Monthly Trust bank reconciliations: FNB, Nedbank, Standard Bank, ABSA Management of advocate payments
side thereof AJS experience, and Excel advanced Capturing receipts Trust journals Payments by use of requisitions reconciliations Monthly Trust bank reconciliations: FNB, Nedbank, Standard Bank, ABSA Management of advocate payments
Reference: CPT006889-ST-1 PARALEGAL - NEDBANK BOND CENTRE (RETAIL) PARALEGAL - FNB BOND CENTRE (DEVELOPMENTS)
an advantage. Team player Work long hours Capturing all data including bank recons, supplier invoices
and fellow employees. Efficient and accurate capturing of job cards. Onsite customer support and service
cashbook, stock control and general ledger Daily capturing and processing of financial transactions onto
inventory items Assisting with stock take process and capturing Ability to trace stock movements PPV analysis
remuneration and payroll functions Ensuring benefits are captured and processed correctly Provide a cost-effective
remuneration and payroll functions Ensuring benefits are captured and processed correctly Provide a cost-effective