Durban
MR Monthly
and the administering of payments to the trust bank account
Month end reconciliation of all
daily EFT payments in respect of business and trust bank accountsPreparation of EFT reconciliations
and the printing of fee earner reportsFNB Bank ReconMaintenance of the Fixed Asset Register
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Durban North
Quick Books
Debtor ReconMonthly bank reconsCapturing and Managing bookkeeping
bilities:
Sharon Nurock Recruitment C.c.Durban
SARS queries and correspondence Review and sign off bank payments Review and sign off all transaction processing
and Marine Insurance schedule Review and sign off Bank, Petty Cash and Creditors reconciliations Ensure
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Durban
Monthly
Check captured invoices to validate correct banking details and matter details, submit reconciliations
are kept up to date including but not limited to bank account verification.Electronic filing
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Durban
15kpm
Submitting of supplier payments on SAP and the bank.
Controlling all salary reimbursements, overtime
order capture and maintenance.
Maintain the bank file (Receipt and payments).
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Srg Recruitment Ltd.Congella
Financial Accountant. Duties include but not limited to: Bank reconciliation VAT submission Cash flow management
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Durban
10 000 Monthly
invoices, payments, and expenses.
Reconcile bank statements and credit card transactions.Assist
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Armstrong AppointmentsSouth Africa
Verulam Processing of Purchases / sales invoices and bank statements. Book keeping to trial balance Ability
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FreerecruitHyper By The Sea
General office administration. • Responsible for banking administration; • Mailing of monthly statements
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