cash
petty cash Effect payment of invoices via electronic banking Match invoices to GRN and process for some
correct and timeous payments are made, via the electronic banking system (EFT), into all employee's bank accounts Payroll experience Experience in processing electronic bank payments Proficient in relevant payroll software
correct and timeous payments are made, via the electronic banking system (EFT), into all employee's bank accounts Payroll experience Experience in processing electronic bank payments Proficient in relevant payroll software
Reconcile approximately 45 cashbooks monthly. Reconciliations are executed twice a month with final recon for all 45 cashbooks completed by the 2nd working day of the new month. Tenant deposit reconciliations as well as tenant deposit refunds & transfers. Obtain invoices and prepare payment requ
Join a well-established property development company and utilise your bookkeeping skills. Reconcile approximately 45 cashbooks monthly. Reconciliations are executed twice a month with final recon for all 45 cashbooks completed by the 2nd working day of the new month. Tenant deposit reconciliations a