Job Ref #: 201090850601
Industry: Accounts
Job Type: Permanent
Salary: Market Related
· Accurate Processing of daily cashbooks
· Prepare daily and monthly bank reconciliations
· Assists with general admin and reconciliations such as fuel cards, reimbursement claims and petty cash etc
· Accurate and on time weekly and monthly reporting on
transactions to management
· Assist with daily customer queries
· Accurately Reconcile daily cash sales
· Living and promoting the Company values by always performing duties with:
· Honesty
· Respect
· Accountability
· Resourcefulness
· Energy
· Living and displaying the company culture through behaviours such as:
· customer centricity
· effective self-management and teamwork
Grade 12
2 - 3 years’ experience in a similar role.