Introduction one of the 4 major banks in the country. Description Tied Advisor Role Purpose Engage with Experience in a similar role. Completed First Level Regulatory Examination. (RE 5) Completed FSCA Recognized
Secured loans
families, and family offices worldwide. As a Banking & Investment Support Officer, you'll be an in the banking and investment sector. Reporting to the local Team Ops of Client Support - Banking and Investments
guidelines established by Kuehne-Nagel to comply with regulatory standards such as ISO and GXP; Demonstrates and & incident prevention; complete applicable reports promptly and accurately when required; Other duties Matric Sars Letter CV (Curriculum Vitae) Copy ID Bank Statement/Proof of account
guidelines established by Kuehne-Nagel to comply with regulatory standards such as ISO and GXP; Demonstrates and & incident prevention; complete applicable reports promptly and accurately when required; Other duties Matric Sars Letter CV (Curriculum Vitae) Copy ID Bank Statement proof of grade 12
guidelines established by Kuehne-Nagel to comply with regulatory standards such as ISO and GXP; Demonstrates and & incident prevention; complete applicable reports promptly and accurately when required; Other duties Matric Sars Letter CV (Curriculum Vitae) Copy ID Bank Statement proof of grade 12
guidelines established by Kuehne-Nagel to comply with regulatory standards such as ISO and GXP; Demonstrates and & incident prevention; complete applicable reports promptly and accurately when required; Other duties Matric Sars Letter CV (Curriculum Vitae) Copy ID Bank Statement/Proof of account
Treasury Analyst to join their Group Treasury team. Reporting to the Group Treasury Director & the Finance managing the group's cash flow, financial risk, and banking activities. Job Summary: As a Treasury Analyst including global cash management, operational banking, and providing support to Operating Companies. monitoring, minimize net interest costs, and maintain banking arrangements. Requirements: Bachelor's degree in update Bank Mandates Manage cash management systems and processes Monitor and rationalize bank accounts
journals, balance sheet recons, group and internal reporting and attending to related queries Managing and Cashbook duties which include the daily import of banking transactions and the management of the automatic receipts. Manual capture of non-trade bank accounts. Dealing with the bank on all administrative needs (Credit request/cancellation, forex banking issues, password issues, FICA requirements, bank confirmation certificates
preparation of management accountants and regulatory reporting