Polokwane
On-site
ZAR 200,000 - 300,000
Full time
26 days ago
Responsibilities
- Creditors reconciliations on a monthly basis
- Debtors reconciliations on a monthly basis
- Follow up on the Debtors Payments regularly
- Bank Reconciliation
- Requesting Finance Assets statement from the Finance House Monthly
- Processing Journal for Finance Assets statement on a monthly basis
- Review VAT Reports
- VAT Reconciliation
- PAYE Reconciliation
- Downloading of Statement on Weekly basis for Reconciliations
- Prepare monthly reports and distribute with relevant people.
- Provide departmental administrative support.
- Review and support Bookkeeper’s Work