join their team. You will be responsible to manage bank reconciliations and handle creditors' and debtors' relevant experience in a similar role. DUTIES: Perform bank reconciliations. Handle creditors' reconciliations with working with stock. Strong understanding of bank reconciliations and general accounting procedures
transactions
full accounting function for the group. Bank & Cash – bank reconciliations and cash flow projections
full accounting function for the group. Bank & Cash – bank reconciliations and cash flow projections
financing and leasing deals accurately and securing bank finance approvals, Understanding and complying with vehicles are delivered and paid for by the respective bank within an acceptable time frame.
qualification would be beneficial Business and Trust bank accounts transactional processing Oversight of the experience in performing creditors, debtors and banking duties Preference will be given to someone that
qualification would be beneficial Business and Trust bank accounts transactional processing Oversight of the experience in performing creditors, debtors and banking duties Preference will be given to someone that
Other ad hoc administration. Bank reconciliation. Monitor other companies bank reconciliation. Month end
reconciliation of: