managements review and loading approved payments on banking platforms. Preparing monthly creditor reconciliations payment schedules, and loading approved payments on banking platforms. Preparation of schedule reflecting the Capturing of transactions in bank accounts and preparing monthly bank reconciliations. Assist in the are required. Load all approved payments on the banking platform used by Calgro paying close attention Checking the funds required for payments in each bank account and performing transfers to ensure the accounts
petty cash, banking accounts, and monthly reporting Maintain the cash book and oversee daily bank reconciliations information from third-party salary administrators to bank account payments Assist with the reconciliation experience preferred Essential sound accounting knowledge Ideally, previous accounting experience is preferred working on Workbook is highly advantageous Proven computer literacy, with essential skills in MS Excel, MS
Bookkeeping up to Trial Balance (TB) for various entities Bank reconciliations Preparation of monthly and yearly Bookkeeping / Accounting experience Excellent computer knowledge Own transport TO APPLY: If your background
week.
We seek candidates with a robust knowledge of C# and the .NET framework, as well as expertise front-end technologies and cloud computing. Experience in the banking, financial, or consulting sector
at the office Industry: Financial, Payment and Banking Technology Services Amazing chance to join a well-established well-established FinTech company that specialises in banking and payment solutions. They are a fast-growing and career challenges. They aim to enable more banks and brands (listed companies and start-ups) to offer Skills and Experience: X1 Graduate Developer (BSC Computer Science / Information Technology – Related qualifications) doing C#.NET development. Advanced .NET platform knowledge. Some experience with Microsoft web technologies
Certificate in Retail/Business Administration. Computer Literate: Word and Excel. 2 – 5 years in relevant Criminal / Credit Check Qualification verification Computer and Psychometric assessments where required First Ensure that the banking is done daily in conjunction with the Store Manager as per the banking procedures procedures Ensure all cash ups balance with the banking The drop safe must be always locked and the key kept by cashiers balance. If there are shortages or over banking, this needs to be investigated and relevant corrective
Certificate in Retail/Business Administration. Computer Literate: Word and Excel. 2 – 5 years in relevant Criminal / Credit Check Qualification verification Computer and Psychometric assessments where required First Ensure that the banking is done daily in conjunction with the Store Manager as per the banking procedures procedures Ensure all cash ups balance with the banking The drop safe must be always locked and the key kept by cashiers balance. If there are shortages or over banking, this needs to be investigated and relevant corrective
payables, accounts receivables, reconciliation of bank statements, internal audits, and other financial and Procedures KNOWLEDGE / EXPERIENCE REQUIRED : Grade 12 Basic Product knowledge Knowledge and understanding advantageous Valid Driver's License is a must Computer Knowledge (MS Word, Excel, Outlook, Sage, Evar etc
payables, accounts receivables, reconciliation of bank statements, internal audits, and other financial and Procedures KNOWLEDGE / EXPERIENCE REQUIRED : Grade 12 Basic Product knowledge Knowledge and understanding advantageous Valid Driver's License is a must Computer Knowledge (MS Word, Excel, Outlook, Sage, Evar etc
Job Description: Daily bank journals for operating bank Liaison between bank and operations for ATM and Sheet Accounts Skills & Experience: Advanced knowledge of Excel Experience in Accounting software Excellent