Description: JOB TITLE OFFICE ADMINISTRATOR (PORT ELIZABETH) Division Banking MAIN ... handling and reconciliation of petty cash and financial and general administrative ...
3 days ago
... Phone tenants for outstanding rent payments Assist the Property Manager in ...
2 days ago
... keeping and filing system. Bank: Cash book processing and reconciliation of ... the bank accounts / cash book. Weekly monitoring of cash flow. Statutory Reporting ... reconciliation of accounts. Allocate incoming payments in Pastel. Creditors Control: Creditors ...
20 days ago
... End Reporting Reconciliations Loading of payments as required as well as ... fixed monthly payments and creditors Ensuring that appropriate ... return submission Payroll administration Petty cash processing
6 days ago