Experienced IBM Software Developer: 1 Year FTC: Banking Knowledge of various content management systems
in preparing for annual external audits Perform banking functions Client Admin Support: Process client
maintained and reconciled monthly Provide support for banking and month-end payment Ensuring compliance with
management, including reconciling cash drawers and bank deposits. Prepare financial reports, including sales
Accounts Receivable and Accounts Payable experience · Bank Reconciliation experience · Fixed Asset experience
and accounts payable. Prepare weekly and monthly bank reconciliations. Prepare monthly account reconciliations
in a leadership role. Audit Expertise: AML and banking audit experience. Tech Savvy: Familiarity with
and reports. Credit control (debtors collection). Bank statement reconciliations. Update tender schedules
management, including reconciling cash drawers and bank deposits. Prepare financial reports, including sales
Below are the documents thats needed. CV, Sars, Bank details, Matric certificate ( if you have ), Vaccine