finding great opportunities within the world of banking, insurance, and wealth management where your abilities Technical Member Familiarity within the insurance/banking. Finance or related industries Experience in mathematic
analysis and submission for review; Daily processing of bank and cash, petty cash and ad hoc journals as required; limited to): Accounts receivables Accounts payables Bank reconciliations Inventory reconciliations VAT control
Description Full Stack Java/Spring Developers: FTC: Banking The call is for an exceptional individual to build solving interesting technical challenges in a Banking Environment. Be involved in all aspects of development environments Practical experience in a high volume banking environment. (E.g. application clustering, scaling
Officer Perform daily cash book processing Weekly banking Ensure invoices and expenses are approved, coded approval by Financial Manager Reconciliation of bank statements Assistance during the yearend audit Perform work in a team environment. Ability to interface banking system and Pastel Uncompromised severe degree of
qualification
financial records are reconciled regularly, such as bank statements, accounts receivable, and accounts payable
Requirements: Invoicing, Deal file control, Debtors, bank recon, accounting to DMS system recon, creditors
and update the treasury management system and banking platforms. Handle foreign currency transactions
The Accountant will be responsible for reconciling bank accounts, preparing and sending out client statements/age
and update the treasury management system and banking platforms.