Description: Cash Book Clerk required for a reputable company based ... Minimum of 3 years’ experience in a cash book clerk/ bookkeeping environment. Experience in using ... at intermediate level. Knowledge of cash book controls, reconciliations, invoicing and ...
7 months ago
... process company credit card account Cash Book / Bank Reconciliation on system Costing ...
19 days ago
... creditors’ function – large creditors book Maintaining creditors book and reconciling Check that ... times Responsible for the Petty Cash Pallet reconciliations Additional finance / admin ...
11 months ago
Description: RETAIL ADMIN. CLERK / PORT ELIZABETH – URGENT - CANDIDATE MUST ... administration - daily banking, effective filing Cash drops/refunds/voids/price discounts ...
15 days ago
Description: RETAIL ADMIN. CLERK / PORT ELIZABETH – URGENT - CANDIDATE MUST ... administration - daily banking, effective filing Cash drops/refunds/voids/price discounts ...
a month ago
... General Manager. Banking and Cash Flow Daily cash book processing. Responsible for the ... integrity of the bank account / cash book. Responsible for checking, loading and ... balance cash income and expenses and cash banking. Prepare monthly Petty cash ...
27 days ago
... forecast; Balance sheet; Petty cash; Payroll; Cash book and Bank. This position will ... Trial Balance and Pastel sub books. Ensure that all data captured ... close off of Pastel sub books. Pastel Control / Maintenance. Monthly reconciliation ...
2 years ago
... essential Duties include: Financial Analysis Cash Flow Forecast and Analysis Review ... ) Cost Analysis Capital Expenditure Analysis Cash Book Management Debtors Creditors Sales Forecasting ...
a year ago
... etc.) preferred Responsibilities: Capturing of cash books and processing accounting records up ... balance sheets and P&L and cash flow statements PAYE returns submissions ... Oversee debtors, creditors and wage clerks: checking work completed, loading payments ...
11 months ago
... online banking payments (when needed) • Cash book • PAYE, UIF & VAT submissions • Bank ...
15 days ago
... online banking payments (when needed) • Cash book • PAYE, UIF & VAT submissions • Bank ...
27 days ago
... accurate and complete set of books. Completing of annual financial statements ... Processing and reconciling of Petty Cash and cash control accounts Keeping of ... , Debtors days Ability to record books from insufficient records. Produce a draft ...
2 months ago
... accurate and complete set of books. Completing of annual financial statements ... Processing and reconciling of Petty Cash and cash control accounts Keeping of ... , Debtors days Ability to record books from insufficient records. Produce a draft ...
2 years ago