statements. Check captured invoices to validate correct banking details and matter details, submit reconciliations are kept up to date including but not limited to bank account verification. Electronic filing of all correspondence
processes, e.g., Bank Statement Processing, Bank Account Management, In House Bank and Cash Management
accounts receivables' data. Prepare bills, invoices and bank deposits. Reconcile the accounts receivable ledger
transactions on relevant platforms. Reconcile company bank statements and bookkeeping ledgers. Generating all
Responsible for monthly creditor's reconciliation – Std Bank credit card, Stannic fleet cards. Liaise with AP monthly basis as per statement. Liase with Standard Bank re VISA cards, limit increase, etc Responsible for
Transactions Close monitoring of daily cash flow and bank balances Cash flow projections Maintaining &
Transactions Close monitoring of daily cash flow and bank balances Cash flow projections Maintaining &
Branch Manager Logistics
Witbank
Our Client, a leader in Logistics is seeking to employ a Branch Manager at their Witbank branch
Duties, but not limited to:
Our client requires the services of a Control-M mainframe Systems Administrator. Additional information will be sent to shortlisted candidates. THE ROLE: Setup new and maintain batch schedules on the behalf of application teams. Render batch support and consultancy services to developers that utilis
Do You Have What It Takes? Are you energetic and an innovative out of the box thinker? Do you have a great “can-do” attitude? Are you passionate about providing exceptional service and solutions that matter? Do you enjoy working in a high paced ever-changing environment? Our employees are the he