and accurate preparing debtors and creditors reconciliations Accurate and timeous reviewing of cash balance following up on debtors. Processing monthly bank reconciliations to schedule. Controlling of Petty Cash for and professionally. Preparing the month-end reconciliation file for the Financial Manager within agreed invoicing and statements Recording of invoices, reconciliations and monthly statements for medical supplies
and accurate preparing debtors and creditors reconciliations Accurate and timeous reviewing of cash balance following up on debtors. Processing monthly bank reconciliations to schedule. Controlling of Petty Cash for and professionally. Preparing the month-end reconciliation file for the Financial Manager within agreed invoicing and statements Recording of invoices, reconciliations and monthly statements for medical supplies
and accurate preparing debtors and creditors reconciliations Accurate and timeous reviewing of cash balance following up on debtors. Processing monthly bank reconciliations to schedule. Controlling of Petty Cash for and professionally. Preparing the month-end reconciliation file for the Financial Manager within agreed invoicing and statements Recording of invoices, reconciliations and monthly statements for medical supplies
and accurate preparing debtors and creditors reconciliations Accurate and timeous reviewing of cash balance following up on debtors. Processing monthly bank reconciliations to schedule. Controlling of Petty Cash for and professionally. Preparing the month-end reconciliation file for the Financial Manager within agreed invoicing and statements Recording of invoices, reconciliations and monthly statements for medical supplies
and assisting with monthly supplier account reconciliations. As an Accounts Administrator, you must be in preparation and submission of creditors' reconciliations monthly – All balances to be reconciled against for the month. Ensure timeous processing and reconciliations in line with monthly financial reporting deadlines Working knowledge of financial accounting and reconciliation processes 3 - 4 Years' experience in a finance/accounting
with posting of business bank accounts and reconciliations thereof monthly as needed. Posting of petty
with posting of business bank accounts and reconciliations thereof monthly as needed. Posting of petty