Description: Ensure transactions are processed accurately Ensure transactions are processed timeously for Month end Management Accounts Reconciling accounts at month end Ensure payments are prepared accurately Ensure payments are processed timeously ...
a month ago
... non-account related queries (Daily) Creditors o Daily capturing of supplier invoices ... customer accounts o Sending customer statements Creditors o Monthly reconciling of supplier statements ...
6 days ago
... office. Financial management involving debtors, creditors, invoicing & reconciliations. Assist with staff ...
7 days ago