Download, Processing, and Reconciliation of Bank Accounts: Handle the daily download, meticulous processing processing, and precise reconciliation of all bank accounts to ensure accuracy and transparency in financial onto the bank platform accurately and efficiently.
Evolution
agreements, utility bills etc. Assist with personal bank accounts (cheque acc/credit cards/ queries/ updates and and related issues as well as closing of bank accounts when FSE's leave South Africa). Assist with general
Management of the bank accounts and cash books on a daily basis. Preparation of the daily bank account movement
agreements, utility bills etc. Assist with personal bank accounts (cheque acc/credit cards/ queries/ updates and and related issues as well as closing of bank accounts when FSE's leave South Africa). Assist with general
for bank accounts
cashbooks for bank accounts Allocate payments Prepare reconciliations for bank accounts Process reallocation
cashbooks for bank accounts Allocate payments Prepare reconciliations for bank accounts Process reallocation
your responsibilities will include reconciling bank accounts, taking control of the debtors and creditors processing of daily banking transactions on the Trust, Business and investment accounts, month end reconciliations
your responsibilities will include reconciling bank accounts, taking control of the debtors and creditors processing of daily banking transactions on the Trust, Business and investment accounts, month end reconciliations