maintained and reconciled monthly Provide support for banking and month-end payment Ensuring compliance with
maintained and reconciled monthly Provide support for banking and month-end payment Ensuring compliance with
payments, validate documentation, and oversee month-end bank reconciliations
Scrutinize intercompany transactions
Control, Debtors Control, Salary and Wage Control, and Bank Reconciliation
Create, prepare, and process
suppliers)
Full Debtors and Creditors control
Bank reconciliations & Petty Cash & Daily
Liaise
maintained and reconciled monthly Provide support for banking and month-end payment Ensuring compliance with
maintained and reconciled monthly Provide support for banking and month-end payment Ensuring compliance with
stocks globally, competing with the top investment banks. With offices in London, Boston, Hong Kong and more base while competing against the top investment banks.
KEY RESPONSIBILITIES
expense/Tax schedules Open new suppliers accounts in Vos Banking Processing funds received within 24 hours of being tion of surplus funds Complete Year-end Reserve Bank schedules Cash to Master Reconciliations of, Petty
qualification in Information Technology