amounts in the General Ledger. ● Oversee regular bank reconciliations with Oracle in order to ascertain and refer them for appropriate action ● Analyse bank statements daily in order to identify and investigate
clients Dealing with outstanding accounts Age analysis Bank statement reconciliations Ad- hoc accounting functions
accounts. • Update & reconcile cashbook to the bank statements daily • Filing R9000 per month The post
and receipts in a timely manner.
Calling all Financial Accountants in Pretoria. Join a dynamic group of Companies in Menlyn where you
Daily capturing of bank, petty cash and credit card statements, Prepare monthly reconciliations, Manage
for efficient financial management. · Reconcile bank and credit card statements monthly to ensure accurate
principles, regulations, and financial reporting standards.
verify accuracy, specifications and budget cost centre Compare suppliers' invoices with bids/ quotes against
verify accuracy, specifications and budget cost centre Compare suppliers' invoices with bids/ quotes against