financial information and performing specific general ledger reconciliations for specific areas in the
financial information and performing specific general ledger reconciliations for specific areas in the
including handling creditors and debtors -Perform general bookkeeping duties, maintaining accurate financial
provisions
audit preparations, B-BBEE preparations, and general admin Post audit adjustment What you'll need Relevant
the brokerage, and broker services; Dealing with general insurance and policy specific enquiries; Dealing
the brokerage, and broker services; Dealing with general insurance and policy specific enquiries; Dealing
journals Creditors' reconciliations and queries General filing Assisting with reports Assisting with maintaining
including accounts payable, accounts receivable and general ledger entries Transaction Processing: Process
for payment. Ensure Creditors Ledger agrees to General Ledger. Reconcile creditors statements to Creditors