variance lists for authorization. Prepare Cashbook recons for month-end payments. Capture Cashbook Payments the safe and maintain the deposit slips book for banked items. Matric / Grade 12 and bookkeeping qualification
variance lists for authorization. Prepare Cashbook recons for month-end payments. Capture Cashbook Payments the safe and maintain the deposit slips book for banked items. Matric / Grade 12 and bookkeeping qualification
Standard Bank Business Online Prepare ad hoc COD payments Prepare and reconcile CFC bank recons to the the bank statement Prepare monthly import payment schedule and capture import journals Capture all payments payment Reconcile and maintain the pre-payment recon Prepare and capture ad hoc journals as required
Standard Bank Business Online Prepare ad hoc COD payments Prepare and reconcile CFC bank recons to the the bank statement Prepare monthly import payment schedule and capture import journals Capture all payments payment Reconcile and maintain the pre-payment recon Prepare and capture ad hoc journals as required
Maintain clear and effective communication with Stock Clerk, Warehouse Controller and Warehouse Supervisor