practices Proficiency in using accounting software and banking platforms Experience with VAT regulations and compliance Key Responsibilities: Loading of payments on the banking platform Processing payables on the accounting
sale (POS) Reconciling and banking POS Operating and speed point banking Experience in Customer Service
sale (POS) Reconciling and banking POS Operating and speed point banking Experience in Customer Service
Preparation of accrual schedules and reconciliations Banking details, which include loading pf payments and Assisting Senior accountants with adhoc functions Bank reconciliations Basic debtors receipting and allocation
ensuring the smooth operation of the company's banking and mobile platforms. Responsibilities include approach to problem-solving. Deep understanding of banking operations, regulatory requirements, and compliance operations management in the fintech industry or mobile banking sector
source documents to balance sheet Bank reconciliations (All business bank accounts: Trust, Business and Vat maintain Partners and Consultants' Commission Schedules Bank Liaison (opening of Investment accounts on behalf
Perform banking functions, including loading payments and beneficiaries. Liaise with bank representatives representatives to resolve bank-related queries and request necessary confirmation letters, forms, and information for station managers. Reconcile ticket sales with bank statement receipts. Reconcile VIP and airline recharge in creditor responsibilities Familiarity with banking and accounting systems Effective communication
Perform banking functions, including loading payments and beneficiaries. Liaise with bank representatives representatives to resolve bank-related queries and request necessary confirmation letters, forms, and information for station managers. Reconcile ticket sales with bank statement receipts. Reconcile VIP and airline recharge in creditor responsibilities Familiarity with banking and accounting systems Effective communication
Perform banking functions including the loading of payments and beneficiaries Liaise with bank representatives representatives in order to resolve any bank related queries and request letters of confirmation, forms and for station managers Reconcile ticket sales with bank statement receipts Reconcile VIP and airline recharge Experience in the creditors function Experience with banking systems and accounting systems Excellent communication
research, compliance, and delivery, driving the bank's technological direction.