payments to the accounting system. • Daily bank reconciliations. • Direct Debit collections. • Banking cheques
Controller will be responsible but not limited to bank reconciliations, cash flows, income statements, financial
Controller will be responsible but not limited to bank reconciliations, cash flows, income statements, financial
Controller will be responsible but not limited to bank reconciliations, cash flows, income statements, financial
the Divisional Accountant: Perform daily bank reconciliation. Capture new users and update banking details
Divisional Accountant:
processing of the journals, cashbook, performing bank reconciliations
Attention to detail and accuracy
from bank statements into the accounting system • Cashbook processing, management and reconciliations • processing of the journals, cashbook, performing bank reconciliations • Attention to detail and accuracy • Must
receivable Prepare and process invoices Handle bank reconciliations Assist with month-end and year-end closing
receivable Prepare and process invoices Handle bank reconciliations Assist with month-end and year-end closing