Menlyn Maine, Pretoria Role: Daily Balancing and Reconciliation of all transactions processed via the various Financial Administrative service. Balancing and reconciliation items to be reflected with 100% accuracy in Ensure immediate corrective actions in terms of reconciliation / balancing items. Who we are looking for: Professional with extensive experience in reconciliations with at least 5 years' experience in a similar similar role handling Bank and Cashbook reconciliations. Extensive experience in and a thorough understanding
Menlyn Maine, Pretoria Role: Daily Balancing and Reconciliation of all transactions processed via the various Financial Administrative service. Balancing and reconciliation items to be reflected with 100% accuracy in Ensure immediate corrective actions in terms of reconciliation / balancing items. Who we are looking for: Professional with extensive experience in reconciliations with at least 5 years' experience in a similar similar role handling Bank and Cashbook reconciliations. Extensive experience in: Interbank ATM – SASWITCH
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Menlyn Maine, Pretoria Role: Daily Balancing and Reconciliation of all transactions processed via the various Financial Administrative service. Balancing and reconciliation items to be reflected with 100% accuracy in Ensure immediate corrective actions in terms of reconciliation / balancing items. Who we are looking for: Professional with extensive experience in reconciliations with at least 5 years' experience in a similar similar role handling Bank and Cashbook reconciliations. Extensive experience in: Interbank ATM – SASWITCH
/>Role:
Menlyn Maine, Pretoria Role: Daily Balancing and Reconciliation of all transactions processed via the various Financial Administrative service. Balancing and reconciliation items to be reflected with 100% accuracy in Ensure immediate corrective actions in terms of reconciliation / balancing items. Who we are looking for: Professional with extensive experience in reconciliations with at least 5 years' experience in a similar similar role handling Bank and Cashbook reconciliations. Extensive experience in and a thorough understanding
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will include: Bank reconciliation Journal processing Balance sheet reconciliations Maintaining the fixed floorplan finance reconciliations Month-end accruals and provisions VAT reconciliation Database APPLY NOW
the Group Finance Executive
• Monthly Reconciliations
• Full Creditors and Bookkeeper Function
daily/weekly/monthly
• Bank Reconciliation (Weekly and Monthly)
• Other reconciliations (e.g.: Rebates, Online
Online partners, etc.)
• General Ledger Reconciliation
• Daily cashflow report preparation
• Creditors Reconciliations and following up on account discrepancies
• Timeous Completion of all reconciliations and payments
• Filing of all company documentation