multiple bank accounts Weekly bank reconciliation on multiple bank accounts Final monthly bank reconciliations reconciliations by the 5th of the month on multiple bank accounts to be submitted to Financial Manager for final
understanding or interest in Google Analytics, Google Merchant Center, and Facebook ads. Familiarity with e-commerce
exchange rate conversion of claim calculations from Rand to foreign currency. Ability to handle large processing
(Invoices). Responsible for providing accurate banking details for payment purposes. Amending and maintaining
(Invoices). Responsible for providing accurate banking details for payment purposes. Amending and maintaining
sales orders, supplier invoices, purchase orders and bank transactions. Proficient in meeting deadlines. Must
monthly basis. Dealing with external sources – Banks, Credit Bureau and other 3rd party institutions
financial accounts receiving funding services with the bank and ensure PODs are provided and appropriate limits