customers. Packing of items Handling of cash of eft payments verified Verify prices to meet customers
for weekly staff. DA's. Handles account queries. EFT payments. Answering of switchboard. Administration
Bank reconciliations Daily loading of payments in EFT system Maintaining the Fixed asset register Creditor
monthly paid staff Inter-company debit journals Bank EFT payments Answering of switchboard Administration
monthly paid staff Inter-company debit journals Bank EFT payments Answering of switchboard Administration
with all Creditors and resolve queries. 4. Process EFT payments. 5. Ensure invoices are issued to the relevant
Will also do some Debit order returns as well as EFT Payments for the company. The client is in Boskruin
of daily EFT payments in respect of business and trust bank accounts
Investigating and resolving all exceptions related to stores EFT banking (cross border stores) Investigating and resolving Reconciliation of Integrated EFT transactions Investigation and resolving all Integrated EFT Exceptions Liaising Investigating and resolving all exceptions related to stores EFT banking (cross border stores) Investigating and resolving Reconciliation of Integrated EFT transactions Investigation and resolving all Integrated EFT Exceptions Liaising
Investigating and resolving all exceptions related to stores EFT banking (cross border stores) Investigating and resolving Reconciliation of Integrated EFT transactions Investigation and resolving all Integrated EFT Exceptions Liaising Investigating and resolving all exceptions related to stores EFT banking (cross border stores) Investigating and resolving Reconciliation of Integrated EFT transactions Investigation and resolving all Integrated EFT Exceptions Liaising