literate Good typing skills Admin (Petty Cash Reconciliations Banking duties Purchasing Reconciling Invoices
bank statements for each day Update the cash deposits banked with an Excel worksheet showing the breakdown dashboards and the cash-up worksheet per day. Verify the amount debited from the bank statement for services as indicated on the cash-up worksheets per day. Send estimated draws off the bank account to management
bank statements for each day Update the cash deposits banked with an Excel worksheet showing the breakdown dashboards and the cash-up worksheet per day. Verify the amount debited from the bank statement for services as indicated on the cash-up worksheets per day. Send estimated draws off the bank account to management
accounts as needed. Review the petty cash reconciliation. All banking details to be validated and loaded
account sales are collected and the cash and vouchers total the banking. Banking is done timeously, and the
Job Position: Bookkeeper Ref: 4759 Location: PE/Gqeberha Salary: R15 000 per month commensurate with qualification and experience Email your CV to recruitonlinepersonnel.co.za Qualifications / Requirements: Accounting courses / finance, or related field Matric Tertiary qualification in the field Pre
reconciliation on the debtors clearing accounts (Cash, card and other). Bank and petty cash. WHT adjustment (As payments
Job Position: Bookkeeper Ref: 4747 Location: PE/Gqeberha Salary: R22 000 per month CTC commensurate with qualification and experience Email your CV to recruitonlinepersonnel.co.za Qualifications / Requirements: Minimum of Matric Minimum of 3 years bookkeeping experience (grocery retail experience hi
As an Estate Administrator Assistant, you would be responsible for providing administrative support to the Estate Administrators. Providing administrative support to Estate Administrators. Reporting of new estates to relevant parties. Obtaining certificate of balances and Preparation of Liquidation
As an Estate Administrator Assistant, you would be responsible for providing administrative support to the Estate Administrators. Providing administrative support to Estate Administrators. Reporting of new estates to relevant parties. Obtaining certificate of balances and Preparation of Liquidation