ledger accounts Month End Journals Recons of accounts Banking Capture Payments Create & maintain payment payment accounts Verifying of payments and ensure proofs are submitted Processing of bank statements The
Bank Accounts: Daily capture of all bank accounts onto SAGE. Bank Reconciliations: Weekly preparation
Bank Accounts: Daily capture of all bank accounts onto SAGE. Bank Reconciliations: Weekly preparation
Introduction Join a leading company in the Johannesburg area if you looking to broaden your expertise and skillset within the security space. PLEASE TAKE NOTE THAT IF YOU DO NOT HAVE SECURITY GUARD EXPERIENCE OR ARMED RESPONSE OFFICER EXPERIENCE AND DONT HAVE THE RELEVANT PAPERWORK, YOUR CV WILL BE
Prepare management accounts and annual financial statements on time. Manage banking, investments, and
QuickBooks). Process accounts payable/receivable, invoices, and payments. Reconcile bank statements and key
accounts. Reconcile customer accounts and resolve discrepancies. Reconcile bank statements regularly to ensure
issuing, receiving, accounting and registration; Responsible for the daily banking affairs, ensure the