submissions PAYE submissions Reconciling internal loan accounts Skills Microsoft Office: Word, Excel and
> PAYE submissions > Reconciling internal loan accounts > experience in MS Word, MS Excel, Outlook
journals including Interest calculations for various loans Preparing and maintaining monthly GL recons including
role
management processes Strong attention to detail and organisational skills Proficiency in data entry and integrity DUTIES Transaction Processing: Record debit transactions accurately. Process payments and refunds. transactions are balanced and accounted for. Data Entry: Enter financial data into accounting systems. Update and maintain databases with accurate information. Ensure data integrity and accuracy. Customer Interaction: Handle to debits. Assist customers with transaction processing. Administrative Support: Assist in preparing
management processes Strong attention to detail and organisational skills Proficiency in data entry and integrity DUTIES Transaction Processing: Record debit transactions accurately. Process payments and refunds. transactions are balanced and accounted for. Data Entry: Enter financial data into accounting systems. Update and maintain databases with accurate information. Ensure data integrity and accuracy. Customer Interaction: Handle to debits. Assist customers with transaction processing. Administrative Support: Assist in preparing
role
management processes Strong attention to detail and organisational skills Proficiency in data entry and integrity DUTIES Transaction Processing: Record debit transactions accurately. Process payments and refunds. transactions are balanced and accounted for. Data Entry: Enter financial data into accounting systems. Update and maintain databases with accurate information. Ensure data integrity and accuracy. Customer Interaction: Handle to debits. Assist customers with transaction processing. Administrative Support: Assist in preparing
management processes Strong attention to detail and organisational skills Proficiency in data entry and integrity DUTIES Transaction Processing: Record debit transactions accurately. Process payments and refunds. transactions are balanced and accounted for. Data Entry: Enter financial data into accounting systems. Update and maintain databases with accurate information. Ensure data integrity and accuracy. Customer Interaction: Handle to debits. Assist customers with transaction processing. Administrative Support: Assist in preparing
management processes Strong attention to detail and organisational skills Proficiency in data entry and integrity DUTIES Record debit transactions accurately. Process payments and refunds. Maintain detailed records are balanced and accounted for. Enter financial data into accounting systems. Handle inquiries from customers to debits. Assist customers with transaction processing. Maintain organised financial records and documentation