Cashflow Cashbook entries & bank reconciliation Petty Cash administration Preparation of monthly journals
into TMS, as per trade concluded with bank TMS Administration Users - Create, Delete and administrate
into TMS, as per trade concluded with bank TMS Administration Users - Create, Delete and administrate
financial statement preparation. Bank reconciliations. Payroll administration Analysing monthly financial
financial statement preparation. Bank reconciliations. Payroll administration Analysing monthly financial
in the administration of bank applications, KYCs, and other administrative tasks. Generate various reports
in the administration of bank applications, KYCs, and other administrative tasks. Generate various reports
Accounts Assistant (JB4381) Edenvale, Johannesburg R20 000 per month, CTC Permanent As the Accounts Assistant, you will be responsible for assisting the Cashbook Administrator as well as the Accounts Payable/Receivable Administrator in a fully remote capacity. Minimum Requirements: Matric with Mathe
submitted on status of Insurance Claims. • Bank queries and administration regarding new credit cards. • Checking
submitted on status of Insurance Claims. Bank queries and administration regarding new credit cards. Checking