Onboard new supplier details into accounting and banking applications following specific procedures for
Onboard new supplier details into accounting and banking applications following specific procedures for
Onboard new supplier details into accounting and banking applications following specific procedures for
accurate allocation of all expenses and verify banking details on invoices. Match invoices with corresponding
accurate allocation of all expenses and verify banking details on invoices. Match invoices with corresponding
supplier invoices and loading payments on the banking system. Perform supplier reconciliations and maintain
supplier invoices and loading payments on the banking system. Perform supplier reconciliations and maintain
Excel functions Skill in performing and reconciling bank transactions Understanding of tax legislation, including
Allocation: Record and allocate deposits received from bank statements, including calculating discounts where
Allocation: Record and allocate deposits received from bank statements, including calculating discounts where