schedules
Banking:
Cash
Audit finding. Creditors, Banking & Cash management: Verify weekly bank transfers (Creditor and wages) reports and payment. Approval of payment on the banking system. Monitor daily cash positions and cash flows
Prepare and update corp tax schedules Banking: Manage banking systems (users, passwords, profiles, etc new creditors (local and foreign) Release weekly bank transfers (creditors and wages). Cash Management:
schedules
Banking:
Cash
immediately. Processing muti-company cash book, bank recons, bringing books up to trial balance level
Balance Sheet
level with the next 1-2 years. -Capturing of monthly bank statements and transactions -Able to prepare basic
monies received are banked timeously. Receive and follow up items outstanding on Bank Reconciliation. Ensure
cheque requisitions for payment out of respective bank accounts Provide income statements / trial balance expenses and receipting agree Ensure all monthly bank reconciliations are done Invoice out the monthly
Follow up and action Audit finding. Creditors, Banking & Cash Management Review and authorise creditors reports and payment Approval of payment on the banking system. Monitor daily cash positions and cash flows