control, transport, medical, ID badges, loyalty cards, bank and EVM cards, and includes all industries and vertical
Adjustments Reconciliation Clinic Manager to the Bank Statements on a monthly basis Attend the bi-annual
suspense (unallocated) account Authorisation of banking detail amendments for policy holders / payers Collate
overall tax compliance of the Group; Managing daily banking and cash requirements for the Group; Monthly Payroll
overall tax compliance of the Group; Managing daily banking and cash requirements for the Group; Monthly Payroll
suspense (unallocated) account Authorisation of banking detail amendments for policy holders / payers Collate
contractor/Lessee.
Monthly processing up to trial balance Processing of bank reconciliation Preparation and submission VAT201
Monthly processing up to trial balance Processing of bank reconciliation Preparation and submission VAT201
receipts, sales invoices, purchase invoices. Perform bank reconciliations. Processing and reconciling of Petty