Creditors Payroll for weekly staff DA's Account queries EFT payments Answering of switchboard Administration
reconciliations
Preparation of all manual as well as EFT payments
Instalment sales / Inter group transactions
reconciliations Preparation of all manual as well as EFT payments Instalment sales / Inter group transactions
monthly paid staff Inter-company debit journals Bank EFT payments Answering of switchboard Administration
Newcastle.
employment based in Newcastle. To manage and monitor EFT and cash transactions on a daily basis. Finance Administration relevant customers All daily and monthly Standard Bank EFT payments for MB and MC and the posting of the payments
month-end journals and VAT calculations. Capture EFTs Update the fixed asset register and calculate depreciation
Experience with various payment services (e.g., ISO20022, EFT, Debicheck, PayShap, RTC, Card, Mobile Money) is
returns, handling of VAT queries);
Release of EFT payments;
Manage Statutory Changes;
Supervision
statement variances