Woodmead
Company Description
Part of a group of companies specializing in the procurement
Bank Reconciliation:
office supplies, and innovative storage solutions. As part of the Linvar Group, we specialize in storage handling Change of banking details to be verified and signed procedure form completed Ensure banking details are are correctly captured and any change of banking details request, that company policy and procedure has
limits, contact details, Vat numbers, Bee status and bank account information
sions 2. Bank Payments 3 Comparison Fi
skills.
South Africas # Local Beverage Partner.
As part of shaping our robust Talent pipeline, a vacancy Accounting
Reconciliation Bank Statement Reconciliation Petty cash allocation and reconciliation Manage Daily Banking Issuing
duties:
operations and ensure compliance with accounting standards. Develop and monitor budgets aligned with organizational needed. Liaise with external stakeholders such as banks, regulators, and tax authorities. Ensure that all
accounts receivable, processing invoices, reconciling bank statements, and tracking payments. This role is •Follow-up on outstanding payments. •Reconcile bank statements and credit card expenses on a daily basis
The Accountant will be responsible for reconciling bank accounts, preparing and sending out client statements/age