NFE007309-OND-2 Shape the Future of Finance with Banking Job & Company Description: This client is a financial institution dedicated to providing top-tier banking services to valued clients. With a commitment to innovation, they strive to maintain the highest standards in everything they do. They are currently seeking least 7 years in a management role within the banking sector Extensive experience in financial consolidations
NFE007309-OND-2 Shape the Future of Finance with Banking Job & Company Description: This client is a financial institution dedicated to providing top-tier banking services to valued clients. With a commitment to innovation, they strive to maintain the highest standards in everything they do. They are currently seeking least 7 years in a management role within the banking sector Extensive experience in financial consolidations
adept at managing compliance with accounting standards, general accounting operations, and annual financial
IFRS, and GAAP standards. Responsibilities include training on accounting standards, resolving technical
and the local Accounting Department, auditors, banks, and service providers.
Job
and to assist Financial Manager when necessary. Bank & cash - full function Property plant & Procurement Internal controls Inventory General Reporting Bank & cash - full function Property plant & OUTCOMES AND FUNCTIONS Bank & cash - full function First review of monthly bank reconciliations (Local) (Local) Preparation of monthly bank reconciliations (Foreign) Reviewing and releasing of payments and providing petty cash reconciliations nationally Reporting on bank balance daily to H/O Property plant & equipment
responsible for the below:
Financial Crime Unit Framework to meet regulatory standards and bank needs. Key tasks include designing protocols in strict accordance with bank guidelines, maintaining the highest standards of excellence Lead and manage 8 / 10 years extensive experience in combatting bank related crimes and applying risk mitigation strategies
Financial Manager when necessary. Key Performance Areas Bank & cash - full function Property plant & Inventory General Reporting Bank & cash - full function First review of monthly bank reconciliations (Local) (Local) Preparation of monthly bank reconciliations (Foreign) Reviewing and releasing payments and providing petty cash reconciliations nationally Reporting on bank balance daily to H/O Property plant & equipment verification and compile verification reports as per BCP standard Control of additions and disposals Accounts Receivable
relationships to ensure adherence to Company standards. You will be responsible for strategic insights regulations.
- Utilize knowledge of the banking sector and digital transformation to assess complex in banking, preferably within Auditing, Risk, or Compliance
- Technical Knowledge: Banking operations
processing of financial transactions (payments, journals, bank reconciliations, receipts) and statutory returns compliance with relevant regulations and accounting standards • Check and verify all entries made into the financial reconciliations to check balances back to ledger and bank statement and sign off for filing • Process monthly properly including FNB Online, Pastel, Hyphen etc. • Conduct daily check on bank accounts to verify payments