Bank reconciliations Loading payments onto banking portals Maintenance of fixed asset register Review supplier supplier reconciliations Debtors review Assistance and resolution of account queries Processing of month-end
controller Cash book processing and Bank reconciliations Review of wages Reconcile General ledger control
controller Cash book processing and Bank reconciliations Review of wages Reconcile General ledger control
recons. • Review reconciliation of all inter-company loan and trade accounts. • Review maintenance of the
recons
and monthly preparation of creditor reconciliations, for review, and
cashbook via Standard Bank
and monthly preparation of creditor reconciliations, for review, and cashbook via Standard Bank Business
and Client Investments, including reconciliations Available cash review across businesses Monthly accounts
and Client Investments, including reconciliations Available cash review across businesses Monthly accounts
sheet recons Review reconciliation of all inter-company loan and trade accounts Review maintenance of the