and the administering of payments to the trust bank account Month end reconciliation of all section daily EFT payments in respect of business and trust bank accounts Preparation of EFT reconciliations used month and the printing of fee earner reports FNB Bank Recon Maintenance of the Fixed Asset Register, additions
Financial Accountant. Duties include but not limited to: Bank reconciliation VAT submission Cash flow management
Verulam Processing of Purchases / sales invoices and bank statements. Book keeping to trial balance Ability
hire, ticket purchases Diary management Personal banking Personal Assistant experience Strong people's skills
hire, ticket purchases Diary management Personal banking Personal Assistant experience Strong people's skills
and reconciling financial transactions · Managing Bank accounts, and handling payroll. Matric Bcom Accounting
financial reporting for Chandling International. Process Bank transactions (Rands) accurately into Pastel Evolution the collection of cash from the reps and with banking when required. Vet debit orders and ensure that Complete the Daily Analysis, Daily Sales, and Banking reports. Manage the Creditors and Debtors teams
will be responsible for basic accounting tasks as a Bank Capturing Clerk and provide support in general administration capturing and administrative tasks. ACCOUNTING: Bank Capturing: Accurate and timely entry of financial
relationships with financial institutions and managing banking relationships Monitoring and managing liquidity Requirements: BCom or equivalent degree 2-5 years banking experience 2 years dealing room experience If you
experience. Key Performance Areas: Perform bank reconciliations. Import bank statements and ensure accurate posting