Perform day-to-day accounting tasks, including journal entries, reconciliations, and financial reporting
Perform day-to-day accounting tasks, including journal entries, reconciliations, and financial reporting
correspondence; Monthly provisions, salary and general journals; Approve daily payments on bank; Reconcile inter-group
queries. Perform debit order reconciliation and journal processing. Review of the debtor and creditor age
stomer and Supplier invoice capturing
· Perform debit order reconciliation and journal processing.
· Review of the debtor and creditor
balancing (Botswana & Zimbabwe) Interbranch journal processing Month end and year end processing Account
(Botswana & Zimbabwe)
near Waltloo (Pretoria). Duties: Make sure all journal entries have been approved and processed each month
marketing lists and following up with clients (Social Media) – Capturing of client data Requirements: – Matric