Download online bank statements on a daily basis for all banks.
Send daily bank statements to the Credit Control Unit or any respective units that require issuance of receipts.
Ensure receipts are allocated accordingly.
Review bank statements against cheque and card outstanding listings in HITS, ensuring all outstanding cheque and card listings are set-off.
Issue debit notes on other debtors as and when required, ensuring each is issued immediately upon request and duly signed by the Accountant/Finance Manager.
Ensure receipts are issued for all non‑debtor transactions.
Perform daily cash collection counting, ensuring no variance in RM; report any variance to the Accountant/Finance Manager.
Monitor any rejected payments from the bank and ensure reissuance of rejected payments immediately.
Prepare daily cash balance reports and monitor sufficient cash flow for business operations...
★ Ready to Start Your European Career?
Take the next step and apply for this exciting opportunity