instructions to outsourced administrator Degree in Banking, Finance, Investments or Insurance or related field
& Communications Lead Business Unit: Everyday Banking – Voice & Service Enablement (Ops Enablement) comms resources with solid background on retail banking – people change roll outs, deliverables linked
operational GL reconciliations
the companies CRM system, accounting system and bank accounts. · Expenditure and income variations and and engage with relevant stakeholders (Auditors, Banks, and statutory organisations). · Contract management
accounting and registration; Responsible for the daily banking affairs, ensure the timely receipt and payment
profit. Strategize on fund procurement through banks and other financial institutions. Prudently make
office and operational GL reconciliations Manage banking and treasury functions Prepare annual financial
office and operational GL reconciliations Manage banking and treasury functions Prepare annual financial
Site Agent Pretoria · As a site agent you will be responsible for working collaboratively with contractors
compilation of month end and ad hoc collections reports. Bank allocations in different currencies. Collections