and general journals; Approve daily payments on bank; Reconcile inter-group loan accounts; Weekly group Annually IRP5 Submission; General accounting & bank administration; and To perform tasks accurately
documentation Monthly payroll statistical reporting Banking administration, resolving any related queries, payroll-related journal entries Monthly preparation of payroll bank reconciliations Monthly payroll control accounts
THE COMPANY'S's processes, procedures and audit standards. Maintain and keep information up to date on relevant knowledge of the South African National Payments, banking & clearing system. 5 Years experience Experience Industry and inter-bank clearing system. Deep understanding of Transactional Banking and eCommerce services
returns. Bank & Cash: •Processing of Cash book postings – receipts, payments from bank statements statements on Pastel. •Reconciliation of Bank statements / Cash book. •Petty cash reconciliation and reporting
all relevant laws, regulations, and industry standards, including tax laws, labor regulations, and data
batch functionality Knowledge of content of VIP standard reports Reconciliation of payroll ACB Export General
batch functionality Knowledge of content of VIP standard reports Reconciliation of payroll ACB Export General
generated and submitted according to specified standards and requirements and within the allocated time