include but are not limited to: Preparation of monthly bank reconciliations, both local and foreign Reviewing verification and complete verification report as per BCP standard Review of creditor reconciliations for Gauteng items with branches to effectively manage inventory levels (aging buckets) with the aid of the Financial Manager
include but are not limited to: Preparation of monthly bank reconciliations, both local and foreign Reviewing verification and complete verification report as per BCP standard Review of creditor reconciliations for Gauteng items with branches to effectively manage inventory levels (aging buckets) with the aid of the Financial Manager
reconciling creditors Reconciling bank accounts Overseeing daily banking Overseeing loans Petty Cash Debit Experience full creditors function Experience with Banking and Reconciliations Accpac experience essential
reconciling creditors Reconciling bank accounts Overseeing daily banking Overseeing loans Petty Cash Debit Experience full creditors function Experience with Banking and Reconciliations Accpac experience essential
concentration Perform financial modelling Management of banking compliance Drive change management Foreign currency exposure in a Treasury role Exposure in a Big 4 Bank Skills: Excel Apply now For more finance jobs, please
concentration Perform financial modelling Management of banking compliance Drive change management Foreign currency exposure in a Treasury role Exposure in a Big 4 Bank Skills: Excel Apply now For more finance jobs, please
limited to: Preparation of monthly local and foreign bank reconciliations Reviewing and releasing of payments of aging items with branches to manage inventory levels with aid of the Financial Manager Obtaining monthly
limited to: Preparation of monthly local and foreign bank reconciliations Reviewing and releasing of payments of aging items with branches to manage inventory levels with aid of the Financial Manager Obtaining monthly
cashbook transactions and any other required journal entries per client onto the general ledger. Prepare Balance
cashbook transactions and any other required journal entries per client onto the general ledger. Prepare Balance