Responsibilities: Process monthly accounting transactions from bank statements to Pastel Accounting up to trial balance documents. Perform bank reconciliations. Prepare monthly bank reconciliation for all bank accounts. Conduct
Responsibilities: Process monthly accounting transactions from bank statements to Pastel Accounting up to trial balance documents. Perform bank reconciliations. Prepare monthly bank reconciliation for all bank accounts. Conduct
provisions, salary, and general journals. Authorise daily bank payments. Reconcile inter-group loan accounts. Monitor annual IRP5 reports. Handle general accounting and bank administration tasks. Ensure accurate completion
provisions, salary, and general journals. Authorise daily bank payments. Reconcile inter-group loan accounts. Monitor annual IRP5 reports. Handle general accounting and bank administration tasks. Ensure accurate completion
detail and accuracy. Responsibilities Reconciling bank statements and cashbook entries. Maintaining debtors
detail and accuracy. Responsibilities Reconciling bank statements and cashbook entries. Maintaining debtors
Reference: JHB002044-AV-1 Calling all Commercial Underwriters from a Broker environment If you are eager clients/Account Executives through “constant touch”, phone calls, e-mails, etc. Respond to and resolve client inquiries/issues
Reference: JHB002044-AV-1 Calling all Commercial Underwriters from a Broker environment If you are eager clients/Account Executives through “constant touch”, phone calls, e-mails, etc. Respond to and resolve client inquiries/issues
challenges. Responsibilities Checking the cash up and banking details daily Assist with customer refunds. Ensure
challenges. Responsibilities Checking the cash up and banking details daily Assist with customer refunds. Ensure