processes and procedures
Cashbook duties which include the daily import of banking transactions and the management of the automatic receipts. Manual capture of non-trade bank accounts. Dealing with the bank on all administrative needs (Credit request/cancellation, forex banking issues, password issues, FICA requirements, bank confirmation certificates
forms part of a team within the Shared Services Centre, and is responsible for assisting with Hire to - 2 years' relevant experience in a HR Service Centre environment Proven proficiency in relevant payroll
forms part of a team within the Shared Services Centre, and is responsible for assisting with Hire to - 2 years' relevant experience in a HR Service Centre environment Proven proficiency in relevant payroll
ensuring accuracy and compliance with accounting standards and regulations. This role involves comprehensive transactions are recorded accurately. Reconcile bank statements, accounts payable, and accounts receivable
Creditors
Calling all newly qualified Chartered Accountants!
Our client in the FMCG/ Retail industry is
trail balance Capturing and reconciliation of all bank accounts Monthly reconciliation of petty cash accounts
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accounts Capture fees and disbursement Reconciling bank accounts Preparing request and related paperwork