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Bank Cashier Jobs in East London, Eastern Cape

Jobs 1-7 of 7

Front Office Admin Assistant

 FreerecruitIgoda

administrative experience including Front Desk, Cashier, Invoicing and Quotations ● Must reside in Nelspruit


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Bookkeeper

 Work Africa RecruitmentEast London  Attractive packages with fringe benefits

Responsibilities: Weekly bank statements to be run from the banks. Weekly bank transactions to be uploaded transactions and update the batches. Perform weekly bank reconciliations. Allocate petty cash/credit card needed. Review the petty cash reconciliation. All banking details to be validated and loaded onto system reconciliation. Loading payments and beneficiaries onto the banking platform. Review weekly reconciliation on the debtors


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Bookkeeper

 Work Africa RecruitmentEast London  Attractive packages with fringe benefits

Responsibilities: Import bank transactions, matching the banking transactions. Perform bank reconciliation. Reimbursing recording staff accounts support. Monitoring the bank balances. Perform month-end reconciliation on the debtors clearing accounts (Cash, card and other). Bank and petty cash. WHT adjustment (As payments are amount on time. Loading the payments onto the banking platform. Download and send POP to suppliers together Import sales from POS to Acumatica, match the banking transactions and follow up on differences in debtors


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Senior Bookkeeper

East London

statements

Reconciling of bank statement on PASTEL and SAGE ONE

Import and code bank statements on PASTEL

Process


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Senior Accountant

East London  Negotiable Monthly

sales invoices, purchase invoices

  • Perform bank reconciliations
  • Processing and reconciling


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  • Office Administration Clerk

     Prudent Hr Solutions Pty LtdEast London

    cashbook function including: Reconciliations between bank and ledger balances. Review cashbook to ensure there


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    Administration Clerk East London, South Africa

     Prudent Hr Solutions Pty LtdEast London

    cashbook function including: Reconciliations between bank and ledger balances. Review cashbook to ensure there


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