accurately and timely. Ensure payments are allocated correctly and timely. Ensure payments in the bank are loaded loaded correctly and on time. Prepare and manage cash flows. Handle monthly statement reconciliations, financial year with the Financial Manager. Report timely to the Financial Manager on financial matters. accurate, balanced, and sorted for all entities. Timely and accurate data capturing of Payspace information captured, loaded on relevant platforms, and filed on time. Qualifications Bachelor's degree or similar qualification
accurately and timely. Ensure payments are allocated correctly and timely. Ensure payments in the bank are loaded loaded correctly and on time. Prepare and manage cash flows. Handle monthly statement reconciliations, financial year with the Financial Manager. Report timely to the Financial Manager on financial matters. accurate, balanced, and sorted for all entities. Timely and accurate data capturing of Payspace information captured, loaded on relevant platforms, and filed on time. Qualifications Bachelor's degree or similar qualification
accurately and timely. Ensure payments are allocated correctly and timely. Ensure payments in the bank are loaded loaded correctly and on time. Prepare and manage cash flows. Handle monthly statement reconciliations, financial year with the Financial Manager. Report timely to the Financial Manager on financial matters. accurate, balanced, and sorted for all entities. Timely and accurate data capturing of Payspace information captured, loaded on relevant platforms, and filed on time. Organizational Culture Foster a culture where staff
captured accurately and timely.
Organizational Culture
company has just under 9 years of experience but are a part of a larger JSE listed company. They have quickly daily, weekly and monthly financial reconciliations (bank, creditors, etc) and ensure expenses are booked
/>Bookkeeping tasks:
Facilitate ISO Merchant Accounts with the Acquiring banks. Perform quality assurance risk checks on new merchants disputes, chargebacks, and communication with the banks. Follow-up with new key Clients and offer additional personnel using the company's software for the first time. Resolve Client issues and complaints. Manage communications
Facilitate ISO Merchant Accounts with the Acquiring banks. Perform quality assurance risk checks on new merchants disputes, chargebacks, and communication with the banks. Follow-up with new key Clients and offer additional personnel using the company's software for the first time. Resolve Client issues and complaints. Manage communications
and provide solutions.