Journals, GRN's etc. Assist with Creditors Petty Cash Banking Cash book processing Debtor information and queries manual and EFT cheque advices, reconcile payments on bank statements Inter department communications and follow
each register run daily bank up etc. Oversees daily cash reconciliation and bank deposit procedures Communicate
each register run daily bank up etc. Oversees daily cash reconciliation and bank deposit procedures Communicate
each register run daily bank up etc. Oversees daily cash reconciliation and bank deposit procedures Communicate
divestitures. Maintain relationships with investors, banks, and other financial institutions. Operational Efficiency shareholders: Reporting and maintaining investor relations. Banks and Financial institutions: Obtaining funding and
and maintain all petty cash transactions Ensure banking is done daily and deposit slips are filed and balanced
sales within the financial technology industry/ banking industry. Strong knowledge of financial technology
divestitures. Maintain relationships with investors, banks, and other financial institutions. 2.5 Operational – Reporting and maintaining investor relations. Banks and Financial institutions – Obtaining funding and