Accurately verify, classify, and record data from bank statements.
are requested and not yet paid. Reconciliation of bank attachment transactions to the claims management Validation of claim data in terms of data analysis. Standard, Process, and Procedure Maintenance Maintain up-to-date with the policies and process standards. Keep abreast of internal standards and business goals to ensure
are requested and not yet paid. Reconciliation of bank attachment transactions to the claims management Validation of claim data in terms of data analysis. Standard, Process, and Procedure Maintenance Maintain up-to-date with the policies and process standards. Keep abreast of internal standards and business goals to ensure
financial planning, management, and reporting
Call, run, and minute regular bi-weekly Finance Meetings
creditors and debtors accounts and the companys bank accounts
Compile and prepare all SARS payments
processing on multiple bank accounts
• Weekly bank reconciliation on multiple bank accounts
• Final
Final monthly bank reconciliations by the 5th of the month on multiple bank accounts to be submitted to
Technologies within the Corporate / Investment Banking / Government industries. They have a fun dynamic Corporate / Investment / Banking industry experience Exposure to Investment Banking Applications such as
forthcoming years Providing comprehensive reviews on cost centre findings, and upholding the company's values. Identify Provide comprehensive review and commentary on cost centre findings Key personal skills for a successful FP&A
forthcoming years Providing comprehensive reviews on cost centre findings, and upholding the company's values. Identify Provide comprehensive review and commentary on cost centre findings Key personal skills for a successful FP&A
& Creditors recons. Foreign creditors. Queries. Bank recons if required. PA / Admin duties. Female. Age: