creditors, debtors, bank transactions and financial statements.
up and changes, administering bank portal access and independent bank verification
up and changes, administering bank portal access and independent bank verification
KZN000002-EA-1 Degree in either Business Management/ Banking / Sales. Self-starters with a minimum of 1 year adjustment. Degree in either Business Management/ Banking / Sales. Self-starters with a minimum of 1 year
KZN000002-EA-1 Degree in either Business Management/ Banking / Sales. Self-starters with a minimum of 1 year adjustment. Degree in either Business Management/ Banking / Sales. Self-starters with a minimum of 1 year
between Micros and Bank
Reconciles daily cash offline transactions between micros and bank statements
will be, but not limited to: Cash book processing Bank reconciliation Journals Bond accounts Loan accounts documentation Compilation of management accounts Bank reconciliations Salary processing/importing/mapping
clients FICA documents
transfers between bank accounts efficiently.
between bank accounts efficiently. Maintain beneficiaries on banking platforms. Collect proof of bank account monthly cash book transactions accurately. Perform bank reconciliations to ensure accuracy and identify with Sage Accounting. Experience with working on banking platforms such as Nedbank, ABSA, FNB & SBSA