accurately and timeously Report on bank reconciliations daily File bank statements Intercompany transfers
accurately and timeously Report on bank reconciliations daily File bank statements Intercompany transfers
salaries, wages, project accounts, and ensuring all bank transactions are reconciled daily for the previous extract payment files to be imported into the banking system Process customer invoicing, debit notes
salaries, wages, project accounts, and ensuring all bank transactions are reconciled daily for the previous extract payment files to be imported into the banking system Process customer invoicing, debit notes
salaries, wages, project accounts, and ensuring all bank transactions are reconciled daily for the previous extract payment files to be imported into the banking system Process customer invoicing, debit notes
salaries, wages, project accounts, and ensuring all bank transactions are reconciled daily for the previous extract payment files to be imported into the banking system Process customer invoicing, debit notes
but not limited to, the following: Reporting of bank balances daily Payment of supplier invoices Prepare
ledgers Reconciliations: salary controls and VAT Banking feeds Invoices Skills & Experience: Tax &
Creditors) Review monthly and annual working papers Banking Investment and disinvestment SARS submission EMP201
ledgers Reconciliations: salary controls and VAT Banking feeds Invoices Skills & Experience: Tax &