reconciliations to ensure that entries have been posted correctly, all assets have been loaded correctly and posting account transactions. Managing the petty cash and credit cards. Preparing and posting monthly
reconciliations to ensure that entries have been posted correctly, all assets have been loaded correctly and posting account transactions. Managing the petty cash and credit cards. Preparing and posting monthly
satisfaction through post-sale follow-up and support. Requirements Minimum of Grade 12 Post Matric Qualifications
of cover required on a weekly basis. Prepare and post revaluation of cover taken on Foreign Exchange Contracts
deadlines; and Managing the post process with staff to ensure that all post received on behalf of clients