Duties
documents Bank/Cashbook: Update bank statements weekly Reconcile payments raised and receipts with bank statement statement Forward banking queries to client with reasonable time to response Accuracy in queries sent to
financial statements, various tax duties and auditing Bank reconciliations Invoice and statement checking Assists
Submission/Invoice, Tax Returns/Reconciliations of bank accounts, budgets and forecasts and IFRS through
reconciliations for supplier/customer accounts and bank transactions.
Serve as a Bank Signatory responsible for authorizing EFT payments and updating creditor banking information
Serve as a Bank Signatory responsible for authorizing EFT payments and updating creditor banking information
team
Group Internal Audit (GIA) team at our client, a top bank, is dedicated to providing independent, objective selection.
Join our team at our client, a top bank, and play a vital role in enhancing our internal
team