payable and accounts receivable processes. Reconcile bank statements and maintain balance sheets. Prepare
Creditor reconciliations review and authorisation Bank payments review and authorisation Job Experience
payable and accounts receivable processes. Reconcile bank statements and maintain balance sheets. Prepare
Daily cash book processing x 3 (Nedbank / Absa / Std bank) Debtors (2 x debtor schedules - 250 active debtors)
Daily cash book processing x 3 (Nedbank / Absa / Std bank) Debtors (2 x debtor schedules - 250 active debtors)
reviewing group cash flow, and managing group banking Annual tasks involve preparing the group annual
Reviewing of supplier amendments (especially banking details) Reviewing supplier recons monthly Executing
responsible for shaping the technical API economy for the bank. Work within the Platforms and Engineering Gateway
responsible for shaping the technical API economy for the bank. Work within the Platforms and Engineering Gateway
Reference: JHB006309-MM1-1 One of our clients in the banking sector, based in Johannesburg is urgently looking