... capturing transactions daily, preparing bank reconciliations, debtors’ maintenance, creditors maintenance, ... system. •Petty cash management and reconciliation. 2)Cash-ups • Oversee ... annual and bi-annual EMP501 reconciliations, IRP5’s and Workman’s Compensation ...
11 days ago
... adjustments where needed. Reconciliations: Prepare all balance sheet reconciliations. Balance debtors, ... cash sales accounts Perform bank reconciliations Follow up reconciling items ... on general ledger reconciliations and ensure that long- ...
11 days ago
... debtors and creditors Performing bank reconciliations Assisting in VAT calculation and ...
a day ago
... on weconnectU General Ledger Account reconciliations Take-on accounting for new ...
4 days ago
... management packs â?? Handle balance sheet reconciliations â?? Assist with the preparation of ...
27 days ago