all bank accounts Lodging bank queries and attending to suppliers' queries Producing monthly bank reconciliation
documentation Monthly payroll statistical reporting Banking administration, resolving any related queries, payroll-related journal entries Monthly preparation of payroll bank reconciliations Monthly payroll control accounts
returns. Bank & Cash: •Processing of Cash book postings – receipts, payments from bank statements statements on Pastel. •Reconciliation of Bank statements / Cash book. •Petty cash reconciliation and reporting
and thoroughly engage FSP's as huge as the ‘big 5'banks in South Africa. Deadline driven Problem Solving
and thoroughly engage FSP's as huge as the ‘big 5'banks in South Africa. Deadline driven Problem Solving
employee Employee Information changes Change/Update banking details Processing of Tax Numbers & Tax Directives
employee Employee Information changes Change/Update banking details Processing of Tax Numbers & Tax Directives
legal compliance with financial reporting and banking regulations at the local, state, and federal levels