experience in the conveyancing and debt review sector/banking sector R43 000 CTC per month
reconciliations of financial accounts, including bank accounts, to ensure accuracy and identify discrepancies
Partner and ability to process: Cash books entries and bank reconciliation. Debtors, Creditors, and General
balance. Processing journal entries and monthly bank reconciliations.
Payroll of between 40-50
sales and creating quotes Daily checking of COD bank statement for payments Checking Delivery of Orders
sales and creating quotes Daily checking of COD bank statement for payments Checking Delivery of Orders
balance. Processing journal entries and monthly bank reconciliations. Payroll of between 40-50 staff
through the analysis of financial information such as bank statements , financial statements , and management
through the analysis of financial information such as bank statements , financial statements , and management
made on the DAX system. · Capture EFTs on the banking system. · Update cash flow on a daily basis. ·