reconciliations • Statutory payments • Costing of products • Bank reconciliations • Journals • General Ledger accounts
department. ● Update and reconcile cashbook to the bank statements daily The post Junior Credit Controller
VAT and PAYE tasks Conduct daily banking activities, including bank reconciliations Reconcile debtors’ books and Statements of Accounts Coordinate with banks to investigate and resolve reconciling items Ensure
African related duties: Daily Cashbook processing and Bank reconciliation Processing of Monthly journals Ensuring Report to be submitted on status of Insurance Claims. Bank queries and administration regarding new credit Mozambique related duties: Daily capturing of the bank account, Allocation to debtors' accounts, Management
Management Prepare payments for pay out Reconcile bank statements Manage orders placed Staff loans, purchases
accounts. • Update & reconcile cashbook to the bank statements daily • Filing R9000 per month The post
Accounts processing, collation and dispatch Sending out bank audit requests, chasing for non replies and logging
Payroll tracker Enter data such as new starter/bank details on the system Applicants to the role of
to balance sheet (debtors, creditors, invoicing, bank reconciliation) etc. Excellent communication and
FAIS accreditation and RE05 · Active South African bank account The post Telesales Consultant appeared first