performing monthly bank account reconciliations Preparing and managing ad hoc EFT payments Preparing income Maintaining fixed asset register - working closely with Operations All tasks relating to Fixed Assets including
to support the CEO and MD in their day to day operations. The ideal candidate will have the ability to variety of tasks efficiently, support the financial operations, ensuring accuracy and compliance in all financial Record debit transactions accurately. Process payments and refunds. Maintain detailed records of financial transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve
to support the CEO and MD in their day to day operations. The ideal candidate will have the ability to variety of tasks efficiently, support the financial operations, ensuring accuracy and compliance in all financial Record debit transactions accurately. Process payments and refunds. Maintain detailed records of financial transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve
to support the CEO and MD in their day to day operations. The ideal candidate will have the ability to variety of tasks efficiently, support the financial operations, ensuring accuracy and compliance in all financial Record debit transactions accurately. Process payments and refunds. Maintain detailed records of financial transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve
to support the CEO and MD in their day to day operations. The ideal candidate will have the ability to variety of tasks efficiently, support the financial operations, ensuring accuracy and compliance in all financial Record debit transactions accurately. Process payments and refunds. Maintain detailed records of financial transactions. Account Reconciliation: Reconcile bank statements and financial ledgers. Identify and resolve
debit transactions accurately.
Process payments and refunds. Maintain detailed records of financial transactions. Reconcile bank statements
Process payments and refunds. Maintain detailed records of financial transactions. Reconcile bank statements
debit transactions accurately.
the bank, finding exceptions and bringing visibility to drift between expected money in the bank and Merchants, Customers, Developers and Internal Operation teams. Work on business projects, internal tech