ID/Passport
7. Police Clearance
8. Proof of Bank Account
9. SARS Certificate
10. Hepatitis
sundry debtor recovery invoices. Banking and Treasury: Facilitate bank payments, including international international transactions, and reconcile multi-currency bank accounts (USD, EUR, ZAR, SGD, COP). Journal Entries:
company's banking partners and promptly address any requests from senior management concerning banking, cards cards, or access to banking systems. Maintain accessibility and responsiveness across all communication
BBEEE and financial audits
separating charge slips, balancing cash, and completing banking Maintain knowledge of current sales and promotions
separating charge slips, balancing cash, and completing banking Maintain knowledge of current sales and promotions
request payment of overhead invoices
Reconcile bank balances and book daily cash transactions
Process
innovation Formalize standard operating procedures Bank relationship – compliance documentation and agreements
reconciliation and EMP201 returns
Cashbook entries and bank reconciliations
Prepare monthly journals
Afrikaans (reading, writing and speaking) Dealing with banks Salary dependent on experience