reconciliation and processing of all entries on bank statements. Ensuring the accurate and timely ad day processing of cashbook transactions. Ensuring bank reconciliations are done weekly and monthly. Following financial files Assist with completion of monthly bank reconciliations Assist in the maintenance of the
reconciliation and processing of all entries on bank statements. Ensuring the accurate and timely ad day processing of cashbook transactions. Ensuring bank reconciliations are done weekly and monthly. Following financial files Assist with completion of monthly bank reconciliations Assist in the maintenance of the
purchases, sales, receipts, and payments. Reconcile bank statements and ensure accuracy of financial data
clients are determined in accordance with market standards, while considering the candidate's qualifications comply with all job-related requirements and standards of the POPI Act FIC Act FAIS Act TCF (Treating
clients are determined in accordance with market standards, while considering the candidate's qualifications comply with all job-related requirements and standards of the POPI Act FIC Act FAIS Act TCF (Treating
the company / clients SHEQ code of conduct and standards. Compliance to all COVID protocols required Grade
the company / clients SHEQ code of conduct and standards. Compliance to all COVID protocols required Grade
activities in accordance with regulations and standards of all Insurance regulations and professional
activities in accordance with regulations and standards of all Insurance regulations and professional