accounts and reconciliations Monthly Trust bank reconciliations: FNB, Nedbank, Standard Bank, ABSA Management
accounts and reconciliations Monthly Trust bank reconciliations: FNB, Nedbank, Standard Bank, ABSA Management
processing up to trial balance Processing of bank reconciliation Preparation and submission VAT201 return
processing up to trial balance Processing of bank reconciliation Preparation and submission VAT201 return
statements. Loading of payments on banking platform Reconciliations of required accounts Provide support
statements. Loading of payments on banking platform Reconciliations of required accounts Provide support
Ensure compliance with regulations Bank, Debtors, Creditors reconciliations Perform ad hoc investigations
Ensure compliance with regulations Bank, Debtors, Creditors reconciliations Perform ad hoc investigations