... daily financial transactions (sales, purchases, payments) in our accounting software Manage ...
4 days ago
... assets, debtors, and creditors. Reconcile payments, balances, stock, and resolve discrepancies ...
10 days ago
... foreign invoices Prepare reconciliation for payments Reconcile foreign bank accounts monthly ...
18 days ago
... foreign invoices Prepare reconciliation for payments Reconcile foreign bank accounts monthly ...
19 days ago
... foreign creditors, including invoice capturing, payments, and reconciliations. Maintain fixed asset ...
21 days ago
... Preparing and loading ad hoc payments on online banking platforms Reviewing ...
22 days ago
... and reconcile foreign invoices and payments. Maintain the foreign creditors masterfile ...
23 days ago
... auditors for annual audits. Processing payments Monthly reconciliations Experience and education ...
24 days ago
... and credit notes Customer (borrowers) payment allocations and loan reconciliations Sending ... invoices with statements and payment reminder emails to customers Preparation ...
10 days ago
... documentation. Capture foreign invoices, prepare payment reconciliations, and manage the foreign ...
24 days ago