variety of clients (debtors, creditors, bank reconciliation) Assisting with filing, data entry, and recording
of creditor payments on the different banking systems. Assist with proof of payments. Weekly reporting
allocations Basic Bookkeeping (including bank reconciliations) Assist in monthly financial reporting (expense
of creditor payments on the different banking systems. Assist with proof of payments. Weekly reporting
To design, develop and document agricultural models used for the assessment of agricultural enterprises in the primary agriculture segment. The model outputs assist Banking and Risk Management teams to make informed decisions about the bank ability of each transaction. •Conducts training sessions
To design, develop and document agricultural models used for the assessment of agricultural enterprises in the primary agriculture segment. The model outputs assist Banking and Risk Management teams to make informed decisions about the bank ability of each transaction. •Conducts training sessions
transactions Reconciling cashbook entries with bank statements Assisting in the preparation of financial reports
transactions Reconciling cashbook entries with bank statements Assisting in the preparation of financial reports
Prepare and process invoices Handle bank reconciliations Assist with month-end and year-end closing processes
Prepare and process invoices Handle bank reconciliations Assist with month-end and year-end closing processes