accounts receivable, general ledger entries, and bank reconciliations. Prepare accurate and timely monthly
operational general ledger reconciliations Manage banking profiles and treasury functions Manage all FECs
processing solutions, mobile money systems, agency banking solutions, third party processing, managed service
Service Accounting : Capture and reconcile monthly bank statements and transactions. Perform bookkeeping
financial procedures, including till closures, banking sheet updates, and adherence to budgeted targets
with Finance that the payment is reflecting in the bank Process order and distribute Inform customer of
Authority. Release payments and approve transactions per bank mandates and delegation of authority. Identify and Ensure all required systems and documents for the bank, auditors, and actuary are in place and approved
of the CE communication strategy, understand the Banks market and clients needs and act as an advisor to profitability by utilising the full suite of offers from the Bank.
to work under pressure. Additional notes Able to pass drug test/background check A good team player Willing
to work under pressure. Additional notes Able to pass drug test/background check A good team player Willing