Complete dailybank and cash office imports, allocations and reconciliations. Processinvoices, journals and adjustments, ensuring valid supporting documents areobtained and filed. Preparesupplier, VAT and non-complex balance sheet reconciliations and clearreconciling items within deadlines. Investigatedifferences between operational and accounting
Centurion, South Africa | Posted on 06/15/2026 Responsibilities Complete daily bank and cash office imports, allocations and reconciliations. Process invoices, journals and adjustments, ensuring valid supporting documents are obtained and filed. Prepare supplier, VAT and non-complex balance