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Bank Teller Jobs in Ekurhuleni

Jobs 1-10 of 58

Finance Administration Controller - Fmcg

Isando  Market related

support. Responsibilities include treasury operations, bank relationship management, cash accounting & query

  • Posts daily cash activities.
  • Performs daily bank account reconciliation.
  • Assists with preparation
  • Processes miscellaneous deposit items for corporate bank accounts.
  • Assists with annual budgeting
  • Helps with implementation of treasury workstation, bank software or other treasury technology.
  • Performs errors.
  • Controls bank account balances and interfaces with bank about bank service fees.
  • Processes


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  • Sales Executive Jhb - Eastern Suburbs

     Gp ConsultSouth Africa

    General admin duties Natis documents gets to relevant banks Signing of clients contracts either on site or off Complete process of finance from start to end with banks Send POP to accounts and sales executives once payments payments on deals have been made Daily banking allocations Requesting settlements for clients and send Prepare letter of undertakings to banks to get payments of trucks from banks General customer queries / assistance either bank or in-house finance Contracts for in-house clients Requesting contracts from banks and check


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    Registered Nurse/professional Nurse

    Kempton Park  Monthly

    Photo

  • RWOPS
  • Proof of Banking Details
  • Bank Statements
  • Sars
  • Police


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  • Payroll Administrator Isando

     Cutting Edge RecruitmentIsando  R23K - R26K per month

    will process payrollSage 300 ERP, prepare payroll banking, prepare all payroll related reporting and be responsible of Labor Maintain employee recipient folders on banking system Load and manage employee loans on payroll overflow Ensure all new employees' bank details are loaded on the banking system Maintain resource billing


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    Payroll Administrator R23k - R26k Per Month

     Cutting Edge RecruitmentIsando  R23K - R26K per month

    will process payrollSage 300 ERP, prepare payroll banking, prepare all payroll related reporting and be responsible of Labor Maintain employee recipient folders on banking system Load and manage employee loans on payroll overflow Ensure all new employees' bank details are loaded on the banking system Maintain resource billing


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    Accountant Alberton

     Hxp Labour Solutions Pty LtdAlberton

    the business – DEBTORS, CREDITORS, PETTY CASH, BANKING ACCOUNTS, STATUTORY RETURNS and monthly reporting asset registers · Preparing and balancing of the bank reconciliations, suppliers and customers · Propose


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    Accountant

     Hxp Labour Solutions Pty LtdAlberton

    the business – DEBTORS, CREDITORS, PETTY CASH, BANKING ACCOUNTS, STATUTORY RETURNS and monthly reporting asset registers · Preparing and balancing of the bank reconciliations, suppliers and customers · Propose


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    Accounts Payable /accounts Receivable

    Germiston

    machinery.

  • Ensure accurate recording of all bank transactions in QuickBooks by the 9th of each month month.
  • Reconcile petty cash and bank statements monthly according to established procedures.< obtain necessary approvals.
  • Liaise with banks for various purposes, including foreign payments VAT:
    • Assist in processing bank statements and follow up on missing invoices.
    • Coordinate
    • Coordinate with the accountant to collect reconciled bank statements.
    • Submit all necessary documentation


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  • Germiston

     Marvel Placement ConsultantsGermiston

    of all bank transactions in QuickBooks by the 9th of each month. Reconcile petty cash and bank statements with banks for various purposes, including foreign payments. Company VAT: Assist in processing bank statements Coordinate with the accountant to collect reconciled bank statements. Submit all necessary documentation for


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    Process Coordinator Jhb - East

     Pillangó PlacementsSouth Africa

    Reconcile and Prepare batch payment Age Analysis Bank sub-ledger Ensure all invoices are captued in Accpac monthly basis between systems to ensure stock balances Bank Sub Ledger - Assist with queries from the Treasury


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