Cash book entries after review of bank reconciliation done by staff. Debtors, Creditors, and General Ledger
Main Duties and Responsibilities
Processing daily transactions from Bank Statements & weekly bank reconciliations:
Other daily/monthly functions
My client is seeking a Benefits Reconciliation Administrator to join their dynamic team. If you thrive in a fast-paced environment and possess exceptional analytical skills, we want to hear from you!
This is a 6-month contract role based in Sandton.
Key
Administer banking activities, resolve queries, and ensure timely updates for users.