Authorisation of reversals Banking reconciliation checking and approval Manage and monitor controllable
per day. Send estimated draws off the bank account to management each day. Updating of cashflow reports
per day. Send estimated draws off the bank account to management each day. Updating of cashflow reports
in cross selling bank products. • Maintain detailed tracking of pipeline management and of prospect data
in cross selling bank products. • Maintain detailed tracking of pipeline management and of prospect data
Bookkeeper, East London, Eastern Cape. Company Name: Work Africa Recruitment. This role is responsible for recording and maintaining all business’ financial transactions, such as purchases, expenses, sales revenue, invoices, GL reconciliations and payments. They will record financial data into gen