and accurate processing. Reconciliations: Perform bank reconciliations and resolve any discrepancies. Audit
redemptions payment instructions for review and obtain bank verification reports within the required timelines
direct debits/payments that have been made from the bank account into the finance system Point of liaison
direct debits/payments that have been made from the bank account into the finance system Point of liaison
(pivot-tables, V-Lookup, linking formulas) FNB Online Banking (business use) will be an advantage Remuneration:
language is beneficial. Financial services or banking organisations. Engineering data pipelines such
CFO. Calendar of events and office deadlines. Banking. Petty Cash. Debt Collection. Asset register management