admin tasks
3. Experience or interest in banking and finance related matters
4. Familiarity
Process daily cashbooks Prepare daily and monthly bank reconciliations Reporting on transactions to management
Process daily cashbooks Prepare daily and monthly bank reconciliations Reporting on transactions to management
position for a well know firm serving on various Bank Panels
Matric
Paralegal qualification
Description (Including but not limited to):
Bank recons and monthly journals
Managing, processing
processing daily cashbooks Preparing daily and monthly bank reconciliations Assisting with general admin and
/li>
EMP201returns TAX Cashflow Cashbook entries & bank reconciliation Petty Cash administration Preparation
EMP201returns TAX Cashflow Cashbook entries & bank reconciliation Petty Cash administration Preparation
Finance Manager some of the duties include Reconcile bank statements and credit card transactions, assist