reconciliations for supplier/customer accounts and bank transactions. Managing team members effectively motivation. Ethical Integrity: Upholding high ethical standards to build trust and confidence. Join our client's
Receipt EFT on bank statements Debit order postings Financial invoices and purchase notes Standard journals
ong> Conduct monthly reconciliations including banks, fixed assets, funding, payroll journals, prepayments the employer will be determined based on market standards, considering the candidate's qualifications
long hours
contacted with screening questions. Processing of bank statements, customer and supplier invoices and recons
processes including Bank Statement Processing, Bank Account Management, In House Bank and Cash Management
player Work long hours Capturing all data including bank recons, supplier invoices and sending debtor invoices
Matric · Two years minimum experience collecting for Banks. (Vehicle asset) · Excalibur program experience