include: Preparing Releasing of payments in Standard Bank Preparing VAT returns for specific entities Prepare specific entities Preparing of cash management daily bank balance sheet Preparing of the weekly stats for final tax returns Assist with managing bank accounts with Standard Bank Assist with the preparation of BEE
on the relevant banking platform Capturing of debtor payments/ receipts from the bank statement Reconciliation
finding great opportunities within the world of banking, insurance, and wealth management where your abilities
/>Technical Member
Familiarity within the insurance/banking. Finance or related industries
Experience
on the relevant banking platform Capturing of debtor payments/ receipts from the bank statement Reconciliation
submissions. File financial documents like invoices and bank statements. Process cashbooks and journals on Pastel fixed asset register and calculate depreciation. Bank reconciliations. Liaise with auditors and manage
Manage stakeholder relationships
Banking
Sars submission
Tax submission
Tax
accounts payable and receivable • Prepare reports • Bank reconciliations • Accounting to Trial balance. Apply
/>Reconciliations
Investing
Disinvesting
Banking
Sars submissions
Working papers
EMP201
cover obtained, account to be loaded on the system BANK – INVOICE DISCOUNTING ACCOUNTS: · Ensure all payments left unapplied on the customer account from the ID Bank accounts · All month end payments are to be processed margin queries urgently · Assist with monthly ID Bank audit ADHOC DUTIES & OTHER FUNCTIONS: · Ensure therefore immediately · Processing all payments from bank statements daily · Resolved any cashbook queries
systems