amortization schedules for all the assets financed by the bank. ACCOUNTS PAYABLE Capturing new vendors in the accounting authorized. CASH & BANK ADMINISTRATION Importing bank files into the system Preparing bank and petty cash payments are made) Prepare fleet reports from the bank invoices and fleet report in the name of the entity
processes, e.g., Bank Statement Processing, Bank Account Management, In House Bank and Cash Management
One of our clients in the Banking industry has a contract vacancy for an Associate Financial Analyst 5) in the banking environment with Economics, Finance, Statistics, Business Economics, Banking or Accounting
outsourced partners and all relevant stakeholders, i.e. Banks and the Payment Association of South Africa .
Formulate
5) in the banking environment with Economics, Finance, Statistics, Business Economics, Banking or Accounting
Reference: NFE007235-TIA-1 Are you passionate about the Banking and Financial Services industries? Do you have finance experience IFRS 9 exposure (non-negotiable) Banking or Financial Services industry exposure (non-negotiable)
Reference: NFE007235-TIA-1 Are you passionate about the Banking and Financial Services industries? Do you have finance experience IFRS 9 exposure (non-negotiable) Banking or Financial Services industry exposure (non-negotiable)
and general journals; Approve daily payments on bank; Reconcile inter-group loan accounts; Weekly group Annually IRP5 Submission; General accounting & bank administration; and To perform tasks accurately
and follow up on customer payments. Bank Reconciliation Reconcile bank statements and ensure accuracy in
Management of the bank accounts and cash books on a daily basis. Preparation of the daily bank account movement