Financial Manager when necessary Key Performance Areas Bank & cash - full function Property plant & Inventory General Reporting Bank & cash - full function First review of monthly bank reconciliations (Local) (Local) Preparation of monthly bank reconciliations (Foreign Reviewing and releasing payments and providing petty cash reconciliations nationally Reporting on bank balance daily to H/O Property plant & equipment verification and compile verification reports as per BCP standard Control of additions and disposals Accounts Receivable
Blood Bank Technician To perform routine testing functions (manual and automated) in blood banks including investigations according to Standard Operating Procedures and the Standards of Practice for Blood Transfusion Qualified Blood Bank Technologist To perform routine testing functions in Blood Banks including but not verify test results performed by Registered Blood Bank Technicians, Registered Trainee Technicians and Registered Student Technologists. Qualified Blood Bank Technician KPA 1 Operational Objectives 1.1 Perform
budgeting, forecasting, and compliance
transactions, Chart of Accounts, Journal Entries, Trial Balance, Closing Entries, Accruals, Audit support, Ledger Accounting Policy upkeep, Application of accounting standards, Accounting Process design, Technical transaction Impairment testing, ongoing assessment of accounting standards' impact. C) Internal Controls Oversight Provide
uD83CuDF1F Engineering Lead - Digital Banking Location: Sandton, South Africa (Hybrid role) Contract Cutting-Edge Innovation: Shape the future of digital banking with visionary technical leadership. Collaborative practices Ensure compliance with organizational standards Act as the principal designer for our products
financial records, including general ledgers and bank reconciliations.
supplier invoices and loading payments on the banking system.
supplier invoices and loading payments on the banking system. Perform supplier reconciliations and maintain and accounts receivable. Record general journal entries, including accruals, provisions, and prepayments
supplier invoices and loading payments on the banking system. Perform supplier reconciliations and maintain and accounts receivable. Record general journal entries, including accruals, provisions, and prepayments
Transactional Banking projects by leading the engagements across transactional banking to ensure delivery concurrent project delivery across the Transactional Banking landscape, interfacing to key business stakeholders interdependency management.