invoice payments and cash book processing; Monthly bank reconciliations; Monthly supplier reconciliations;
accounting information (cashbook, journals, VAT etc.) - Bank, creditors, debtors & other reconciliations
timely payments. Manage cash flow and perform all banking tasks. HR: Facilitate and coordinate recruitment
members
useful information; To resolve all queries at the first point of contact; To update all records and contact
useful information; To resolve all queries at the first point of contact; To update all records and contact