EMP201 returns TAX Cash flow Cashbook entries & bank reconciliations Petty Cash administration Preparation
client onboarding administration.
the following:
Capture invoices
Recon banks feed in Xero
Update clocking in Excel timesheet
investments and/or Accounting Experience in auditing, banking and/or sales and marketing (networking) to work
investments and/or Accounting Experience in auditing, banking and/or sales and marketing (networking) to work
team, ensuring smooth client onboarding, accurate bank reconciliations, proper documentation management with client onboarding administration. Assist with bank reconciliation on the Xero accounting program. Assist
Diplomas/National 1st Degrees
- Banking Services (e.g., Higher Certificate in Banking Services - NQF5) (Preferred)
Minimum
Evolution
foreign creditor payments via finance houses / banks Maintaining sufficient FEC contracts for foreign
information on Evolution, including contact info, bank account, tax number, company registration number