accuracy of dummy pay slips Check employee banking details To assist with queries on employee payments and
accuracy of dummy pay slips Check employee banking details To assist with queries on employee payments and
payments from bank statements daily Resolved any cashbook queries raised immediately Assist with the admin
reconciliation. All banking details to be validated and loaded onto system. WHT adjustments. Assist when required
card and other). Bank and petty cash. WHT adjustment (As payments are made). Assist, when required, with