Performing of Final Account reconciliations. Processing of daily EFT payments in respect of business capture onto Lawpac Performing of the Month end processing, rolling onto the new month and the printing Asset Register, additions of new assets and the processing of monthly depreciation. Foreign Transfer applications
Performing of Final Account reconciliations. Processing of daily EFT payments in respect of business capture onto Lawpac Performing of the Month end processing, rolling onto the new month and the printing Asset Register, additions of new assets and the processing of monthly depreciation. Foreign Transfer applications