according to the rejection reason received from the bank for failed payments or failed debicheck mandates by: Making new payment arrangements. Updating banking details on the system. Calling clients before their
according to the rejection reason received from the bank for failed payments or failed debicheck mandates by: Making new payment arrangements. Updating banking details on the system. Calling clients before their
financial statements, various tax duties and auditing Bank reconciliations Invoice and statement checking Assists
Our client in the Banking Industry is looking for a Software Developer - Lineage to join their team for
external assistance Experience in Bonds for any Banks will be beneficial, but is not essential Consultant:
external assistance Experience in Bonds for any Banks will be beneficial, but is not essential Consultant:
appointments, meetings, or conference rooms. Data Entry and Record Keeping: Responsible for maintaining
appointments, meetings, or conference rooms. Data Entry and Record Keeping: Responsible for maintaining
investment experience at a top Fund Manager, Investment bank and/or another comparable financial institution
authorities, maintain fixed asset register, perform bank reconciliations, and handle ad hoc tasks.