balance. Processing journal entries and monthly bank reconciliations. Payroll of between 40-50 staff skills and maintain confidentiality. Maintain a standard of 100% accuracy for financial reporting, payroll
credit note capturing Debt collections Bank capturing and bank reconciliation Customer invoicing Capturing
accounts and payments ● Allocations and receipting of bank statements daily ● Reconciliations of cashbooks spreadsheets required by management ● Corresponding with bank, including the ordering of deposit books, cheque
full-time hours
Banking and Finance
unpredictable environmentsEthical Standards: Commitment to upholding ethical standards and adhering to all relevant surrounds Clear criminal record SARS Certificate Bank Account Verification Police Clearance Certificate
unpredictable environmentsEthical Standards: Commitment to upholding ethical standards and adhering to all relevant surrounds Clear criminal record SARS Certificate Bank Account Verification Police Clearance Certificate
responsible for overseeing the financial operations of the bank, ensuring financial stability, compliance, and strategic optimizing financial processes, and supporting the bank's growth and profitability. Role's Purpose: This and leading strategic initiatives to enhance the bank's operational capabilities. Experience & Qualification initiatives. Investment Management: Manage the bank's investment portfolio. Evaluate investment opportunities
responsible for overseeing the financial operations of the bank, ensuring financial stability, compliance, and strategic optimizing financial processes, and supporting the bank's growth and profitability. Role's Purpose: This and leading strategic initiatives to enhance the bank's operational capabilities. Experience & Qualification initiatives. Investment Management: Manage the bank's investment portfolio. Evaluate investment opportunities
financial management, including everything from bank and customer reconciliations to managing the fixed and financial ratios. Duties: Conduct detailed bank, customer, supplier, and stock reconciliations. accounting standards and queries. Ensure compliance with all financial regulations and standards. Manage
Reconciliation Bank Statement Reconciliation Petty cash allocation and reconciliation Manage Daily Banking Issuing