the Sales Executives Submit applications to the banks Effectively manages the processing of finance applications and paperwork are completed correctly and in a timely manner NCA Qualification CPD hours up to date.
the Sales Executives Submit applications to the banks Effectively manages the processing of finance applications and paperwork are completed correctly and in a timely manner NCA Qualification CPD hours up to date Fully
the Sales Executives Submit applications to the banks Effectively manages the processing of finance applications and paperwork are completed correctly and in a timely manner NCA Qualification CPD hours up to date Fully
Journals, GRN's etc. Assist with Creditors Petty Cash Banking Cash book processing Debtor information and queries manual and EFT cheque advices, reconcile payments on bank statements Inter department communications and follow
ability to work in a small office environment as part of a team • Ability to positively address customer to ensure allocations are done correctly • Review bank reconciliations • Monthly journals • Submit monthly
typing skills Admin (Petty Cash Reconciliations Banking duties Purchasing Reconciling Invoices and Payments
Payroll tracker Enter data such as new starter/bank details on the system Applicants to the role of
Reference: PTA009909-NL-1 Please kindly take the time to read the job specification before applying. Our Analyse the submission of applications to the banks. 3Effectively manage and analyse the processing
cashbook reconciliations. Experience with electronic banking payment uploads and T accounts. Previous exposure
is looking for a Tax Compliance Officer to become part of their team Successful candidates will have working