reconciliations Monthly Trust bank reconciliations: FNB, Nedbank, Standard Bank, ABSA Management of advocate
200, MS Office, and online banking apps such as FNB, Nedbank, and Wesbank. R15 000 CTC with provident
reconciliations Monthly Trust bank reconciliations: FNB, Nedbank, Standard Bank, ABSA Management of advocate
articles DUTIES: Daily receipt reconciliations between FNB and the loan origination system Process collection recon Manage Petty cash Respond to creditor queries FNB Admin as required Process prepayments and accruals
articles DUTIES: Daily receipt reconciliations between FNB and the loan origination system Process collection recon Manage Petty cash Respond to creditor queries FNB Admin as required Process prepayments and accruals
month and the printing of fee earner reports
new month and the printing of fee earner reports FNB Bank Recon Maintenance of the Fixed Asset Register
new month and the printing of fee earner reports FNB Bank Recon Maintenance of the Fixed Asset Register
reconciliations. • Loading of employee payments on FNB Banking (Staff Loans, Pay and Staff Reimbursements)
process in line with audit procedures. 5. Ad hoc a. FNB/External/Internal audit request b. Assisting with