Responsibilities: Weekly bank statements to be run from the banks. Weekly bank transactions to be uploaded transactions and update the batches. Perform weekly bank reconciliations. Allocate petty cash/credit card needed. Review the petty cash reconciliation. All banking details to be validated and loaded onto system reconciliation. Loading payments and beneficiaries onto the banking platform. Review weekly reconciliation on the debtors
currencies • Technological – working knowledge of MS Office Suite • Intermediate proficiency in Excel • Ability systems • Interpersonal – ability to work in a small office environment as part of a team • Ability to positively to ensure allocations are done correctly • Review bank reconciliations • Monthly journals • Submit monthly
Strong IT skills: PowerPoint, MI, Excel, Level-headed and balanced. • Good presentation skills Good communication
a stable job history. This is an internal sales office-based position. Requirements: Minimum of 2 years applications will receive preference, ensure you upload a head and shoulder photo. An Important Announcement from
typing skills Admin (Petty Cash Reconciliations Banking duties Purchasing Reconciling Invoices and Payments
accurately. - Conduct regular reconciliations of bank accounts and financial statements. - Assist in budgeting software (e.g., QuickBooks, Xero) and Microsoft Office Suite. - Strong analytical skills and attention
will receive preference, don’t forget to include a head and shoulder photo, Using “CCTV Monitor” as a reference
positions are based at the Stellenbosch academic head office. The technical areas of competence in which we
positions are based at the Stellenbosch academic head office. The responsibilities of the Educator include
Payroll tracker Enter data such as new starter/bank details on the system Applicants to the role of