Compliance Management Strategic and Operational level - Risk Management implementation Implement, drive Compliance Management. Strategic and Operational level - Risk Management implementation. Implement, drive
Introduction A well known bank in Sandton Description A well known banking client of ours are looking related qualification 5 - 10 years' experience in banking / financial services Strong English communication checks will be done upfront Profile A well known banking client of ours are looking for an experienced Credit related qualification 5 - 10 years' experience in banking / financial services Strong English communication
One of the TOP banks in S.A. is seeking an experienced Transaction Analyst / Specialist to come and less than 3 years' experience in corporate banking, experience in global market recons
marketing. This role requires someone from the banking or insurance sector - this is non negotiable. Candiate records & achievements) Must come from the banking or insurance industry R12 000 - R22 000 basic
Introduction One of the TOP banks in S.A. Description One of the TOP banks in S.A. is seeking an experienced No less than 3 years' experience in corporate banking, experience in global market recons Knowledge of No less than 3 years' experience in corporate banking, experience in global market recons Knowledge of
overseeing various financial functions including bank reconciliations, fixed assets management, accounts accounts payable and receivable, journal entries, and more. This role requires strong analytical skills, exceptional abilities, and a commitment to accuracy. Perform bank reconciliations on a regular basis to ensure accuracy and reconciliation. Prepare and post journal entries for month-end and year-end close. Assist with budgeting ensure compliance with all applicable laws and standards. Mentor and train junior staff members, providing
update financial records, including general ledger entries, accounts payable and receivable, and payroll transactions
control, and ensuring compliance with accounting standards for our selected client base. We require strong experience in end-to-end records of bookkeeping entries, a background in accounting principles, excellent Bookkeeping & Accounting Transactions. Double-entry transaction accounting. Appropriate Accruing for Validation of source documents to General Ledger entries. Debtors & Creditors Processes: Matching of and oversight to bank and cash flows. Month / Year-end Close Processes. Closing entries to accounting records
filing of the following is conducted and up to date. Bank account and debit order list,Prepare new budget General Ledger, Journal entries and preparing and processing manual journal entries Coordinate proper management finance folder Perform and facilitate the following banking transactions, transfers and reconciliations on basis:Credit cards transfers,Bank account reconciliation by drawing statement daily from bank and update on the Forex transfers,Inter-account transfers,Open new bank accounts,Order forex cash for petty cash box,Process
POSITION EXIST?) Responsible by posting journal entries. Applies principles of accounting to analyze financial accounts and financial records meet established standards and criteria, include analysing financial documents recording and verifying transactions. Cashbook Capture entries, maintain and reconcile cash book Loading of all details in the bank Process salary and wage entries into cashbook Reconciliation of bank statements on daily basis Processing deposits, debit orders and bank charges in order to reconcile the cash book Processing