remittances, reconciliations etc.); Cash flow (i.e. bank, petty cash and cash flow forecasts); Fixed asset
and payments in the cashbook Prepare and reconcile bank statements Monitor and reconcile discrepancies in
investment activities and manage relationships with banks and other financial institutions. Strategic Planning:
reconciliations etc.);
payments in the cashbook
to know about exciting opportunities in leading banks and insurance companies across South Africa. (Please
redemptions payment instructions for review and obtain bank verification reports within the required timelines
successful systems in fintech, payments, retail banking, credit, e-commerce or logistics
professionals/ contractor/Lessee. Prepare Rent rolls for Bank/Agents Logging Eskom/City of Cape Town issue tickets
professionals/ contractor/Lessee. Prepare Rent rolls for Bank/Agents Logging Eskom/City of Cape Town issue tickets