Invoices Some Payroll experience when needed Standard Bank Business Online advantageous OneDrive and Teams Cashbook capturing bank and credit card statements and reconciling cash books monthly Bank Reconciliation are followed up with the correct documents to the bank for processing and posting currency variances in
reconciliation. Recording all bank transactions in the cashbook Obtaining periodic bank statements for reconciliation transactions recorded in the cashbook against the bank statement to identify any discrepancies. Apply online
and suppliers) Full Debtors and Creditors control Bank reconciliations & Petty Cash & Daily Liaise