analysis and submission for review; Daily processing of bank and cash, petty cash and ad hoc journals as required; limited to): Accounts receivables Accounts payables Bank reconciliations Inventory reconciliations VAT control
in the relevant cash book Allocate the bank cash book daily (bank feed active) and reconcile monthly Match
in the relevant cash book Allocate the bank cash book daily (bank feed active) and reconcile monthly Match
institution (preference will be given to candidates with banking experience) Proven track record of working within and implement regulations facing South African banks and financial institutions Communicate effectively
institution (preference will be given to candidates with banking experience) Proven track record of working within and implement regulations facing South African banks and financial institutions Communicate effectively
have Fraud and Risk Department experience for a banking Sector in Johannesburg. MUST have a CLEAR Credit distribution. Matric / Grade 12 2-5 years ' experience in banking and / or operational back-office environment in
have Fraud and Risk Department experience for a banking Sector in Johannesburg. MUST have a CLEAR Credit distribution. Matric / Grade 12 2-5 years ' experience in banking and / or operational back-office environment in
Change of banking details to be verified and signed procedure form completed Ensure banking details are are correctly captured and any change of banking details request, that company policy and procedure has
The Accountant will be responsible for reconciling bank accounts, preparing and sending out client statements/age
submission of workman's compensation Capturing of bank statements They are advanced in excel, SimplePay