that RFI's are signed off by the correct parties and that the correct supporting documentation is attached form to ensure that banking details on MDA are correct. Finalizing Tenant Accounts. Calculate interest accounts and ensure that tenants have been charged correctly from start of lease. Ensure that final reconciliation another account with City Property, ensure that the correct Consent to Transfer form is obtained and the refund accounts to determine balance and do necessary corrections to clear balance. Resolve queries on accounts
that RFI's are signed off by the correct parties and that the correct supporting documentation is attached form to ensure that banking details on MDA are correct. Finalizing Tenant Accounts. Calculate interest accounts and ensure that tenants have been charged correctly from start of lease. Ensure that final reconciliation another account with City Property, ensure that the correct Consent to Transfer form is obtained and the refund accounts to determine balance and do necessary corrections to clear balance. Resolve queries on accounts
various Systems as a Financial Administrative service. Balancing and reconciliation items to be reflected all transactions processed. Ensure immediate corrective actions in terms of reconciliation / balancing thorough understanding of BankServ Africa Rules, Service Level Agreements and Guidelines in respect of Financial on Interbank related Card Switching and Payment Services advantageous. Experience in general balancing
various Systems as a Financial Administrative service. Balancing and reconciliation items to be reflected all transactions processed. Ensure immediate corrective actions in terms of reconciliation / balancing thorough understanding of BankServ Africa Rules, Service Level Agreements and Guidelines in respect of Financial on Interbank related Card Switching and Payment Services advantageous. Experience in general balancing
various
Industry: Financial, Payment and Banking Technology Services Amazing chance to join a well-established FinTech various Systems as a Financial Administrative service . Balancing and reconciliation items to be reflected all transactions processed. Ensure immediate corrective actions in terms of reconciliation / balancing Associations as well as BankServ Africa Rules, Service Level Agreements and Guidelines in respect of Financial on Interbank related Card Switching and Payment Services advantageous. Experience in general balancing
Industry: Financial, Payment and Banking Technology Services Amazing chance to join a well-established FinTech various Systems as a Financial Administrative service . Balancing and reconciliation items to be reflected all transactions processed. Ensure immediate corrective actions in terms of reconciliation / balancing Associations as well as BankServ Africa Rules, Service Level Agreements and Guidelines in respect of Financial on Interbank related Card Switching and Payment Services advantageous. Experience in general balancing
Industry: Financial, Payment and Banking Technology Services Amazing chance to join a well-established FinTech various Systems as a Financial Administrative service. Balancing and reconciliation items to be reflected all transactions processed. Ensure immediate corrective actions in terms of reconciliation / balancing Associations as well as BankServ Africa Rules, Service Level Agreements and Guidelines in respect of Financial on Interbank related Card Switching and Payment Services advantageous. Experience in general balancing
Industry: Financial, Payment and Banking Technology Services Amazing chance to join a well-established FinTech various Systems as a Financial Administrative service. Balancing and reconciliation items to be reflected all transactions processed. Ensure immediate corrective actions in terms of reconciliation / balancing Associations as well as BankServ Africa Rules, Service Level Agreements and Guidelines in respect of Financial on Interbank related Card Switching and Payment Services advantageous. Experience in general balancing
– Capture invoices daily – Ensure accuracy and correct coding – Adhere to company policies and procedures