registered, controlled, and implemented according to standard methodologies and practices. Contribute to the reporting as needed. Oversee cash flow forecasts, bank reconciliations, and treasury operations. Maintain
CA(SA) or ACMA/GCMA OR MBA 2-3 years of experience Banking industry experience is essential Financial and
CA(SA) or ACMA/GCMA OR MBA 2-3 years of experience Banking industry experience is essential Financial and
of experience within Risk Modelling Exposure in Banking and Micro - Lending Capital raising exposure Duties
of experience within Risk Modelling Exposure in Banking and Micro - Lending Capital raising exposure Duties
(not limited to): Reconciliations and reporting Bank allocations (Preferred) Posting on non-stock suppliers
(not limited to): Reconciliations and reporting Bank allocations (Preferred) Posting on non-stock suppliers
accounting expertise Strong Excel proficiency Banking exposure beneficial APPLY NOW If you are interested
accounting expertise Strong Excel proficiency Banking exposure beneficial APPLY NOW If you are interested
reporting Daily cash sales recons Liase with the bank Weekly recon of state sector documents Claims Qualifications: