Description: The main responsibility will be to capture and review financial information while managing Prepare cashbooks for bank accounts Allocate payments Prepare reconciliations for bank accounts Process reallocation departments and submit to payroll Prepare invoices and capture sales orders in Sage Follow up on payments on the
Description: The main responsibility will be to capture and review financial information while managing Prepare cashbooks for bank accounts Allocate payments Prepare reconciliations for bank accounts Process reallocation departments and submit to payroll Prepare invoices and capture sales orders in Sage Follow up on payments on the
reconciling creditors Reconciling bank accounts Overseeing daily banking Overseeing loans Petty Cash Debit Experience full creditors function Experience with Banking and Reconciliations Accpac experience essential
reconciling creditors Reconciling bank accounts Overseeing daily banking Overseeing loans Petty Cash Debit Experience full creditors function Experience with Banking and Reconciliations Accpac experience essential
Reconciliations (Balance sheet) Tax preparation Capturing journals Job Experience and Skills Required: Matric/Grade
Reconciliations (Balance sheet) Tax preparation Capturing journals Job Experience and Skills Required: Matric/Grade
limited to: Preparation of monthly local and foreign bank reconciliations Reviewing and releasing of payments
limited to: Preparation of monthly local and foreign bank reconciliations Reviewing and releasing of payments
involvement Interpret and communicate financial data to non-financial managers Tax (provisional tax)
involvement Interpret and communicate financial data to non-financial managers Tax (provisional tax)