done outside the system (FNB) Cash book and Bank reconciliation Conduct cash book entry to reconcile with Monthly Bank reconciliations Do credit card and petty cash reconciliations Prepare reconciliations for Corporate statements reconciliation Cash flow reconciliation and Budget monitoring Compare cash flow against trial balance
helping RAF find the most efficient way to manage cash flow, offering solutions when problems may arise adherence to petty cash management controls in line with the policy Review petty cash expenditure journals Review actual inflow and outflows of the approved cash flow forecast. Review daily funding requests Upload RAF in identifying the best possible way to manage cash inflows and outflows and suggest appropriate solutions solutions to the problems while managing the cash flows. Assist in offering security services to improve
helping RAF find the most efficient way to manage cash flow, offering solutions when problems may arise adherence to petty cash management controls in line with the policy Review petty cash expenditure journals Review actual inflow and outflows of the approved cash flow forecast. Review daily funding requests Upload RAF in identifying the best possible way to manage cash inflows and outflows and suggest appropriate solutions solutions to the problems while managing the cash flows. Assist in offering security services to improve
monitor bank balances and payments, prepare weekly cash flow forecasting and review month end and annual Officers on the various banking platforms Monitor cash movements in operational bank accounts for reasonability analysis prepared by Accounts Officers Review monthly cash book reconciliations prepared by Accounts Officers month end file for review by the CFO Cash management Review all cash movements and balances to ensure accuracy Consolidate all cash balances on a weekly basis Combine the above reports to conclude on the Group's cash position
regularly.
regularly.
cards for travel purpose,Issue cash and petty cash vouchers,Prepare forex cash for site travellers,Archive transactions,Slips, supporting vouchers and petty cash transactions,Director's personal and forex purchase transfers,Open new bank accounts,Order forex cash for petty cash box,Process inward and outward forex payments
will include
Cash book, petty cash, banking, as well as Cash flow projections,
Ensure
for a Costing Accountant to provide guidance on cash management and day-to-day company expenses. Someone following: Sage Pastel Excel Costings and Budgets Cash Flow forecasts Providing regular reports on costings generate the respective reports for decision making. Cash flow Forecasts Presentable Proven work experience
Cash book and bank accounts: Prepare and process to general ledger daily cash takings, receipts from account each month. Regular follow up on debtors cash collections, to ensure that the debts are collected ( budget versus actual report, Management Packs, cash flow statement, balance sheet, inventory movement asset register. Trial Balance, Income statement and cash flows Statutory submissions – Payroll taxes, Vat