proficient in MS Office. Must be proficient with the Nedbank Business Banking Portal. Strong attention to detail of all EFT payments for corporate stores on the Nedbank Business banking Portal. Loading of all Imali payments the Nedbank Business banking Portal. Loading of beneficiaries for corporate stores on the Nedbank Business
balances VAT Load all payments incl tax payments on Nedbank Run and complete various reports Captures reciepts
asset register – Maintain FAR
voucher. Set up banking details for beneficiaries on Nedbank for release. Check new credit applications and debtors. Commence with Bank reconciliation of all Nedbank accounts. Balance bank accounts to month end statement
reconciliations Monthly Trust bank reconciliations: FNB, Nedbank, Standard Bank, ABSA Management of advocate payments
MS Office, and online banking apps such as FNB, Nedbank, and Wesbank. R15 000 CTC with provident fund.
reconciliations Monthly Trust bank reconciliations: FNB, Nedbank, Standard Bank, ABSA Management of advocate payments
Fixed asset register – Maintain FAR Nedbank Loans – Update Nedbank bond schedule monthly Compliance –
Johannesburg. MUST have a CLEAR Credit and Crminal record Nedbank Systems Knowledge will be advantageous NB. ONLY
Johannesburg. MUST have a CLEAR Credit and Crminal record Nedbank Systems Knowledge will be advantageous NB. ONLY