cashbooks - Debtors reconciliation Creditors recon - Bank recon - Update & reconcile loan accounts Loan Performance Areas: Processing of various cash books and bank reconciliations Reconciliation of general ledger
reports in a timely and accurate manner. Reconcile bank statements and monitor cash flow to ensure accuracy regulations and industry trends. Matric 3-5 years of experience in bookkeeping or accounting, preferably in a R12 000 CTC to R15 000 CTC per month based on experience and qualifications
receivable, and general ledger entries. Reconcile bank statements, ensuring accuracy and timely resolution qualification would be advantageous Experience: Minimum 3 years' experience Strong understanding of bookkeeping
receivable, and general ledger entries. Reconcile bank statements, ensuring accuracy and timely resolution qualification would be advantageous Experience: Minimum 3 years' experience Strong understanding of bookkeeping
of 3-5 years bookkeeping experience up to trail balance. Must have experience and knowledge of Pastel detail and accuracy. Responsibilities Reconciling bank statements and cashbook entries. Maintaining debtors
of 3-5 years bookkeeping experience up to trail balance. Must have experience and knowledge of Pastel detail and accuracy. Responsibilities Reconciling bank statements and cashbook entries. Maintaining debtors
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Financial Accounting