by customers - card, cash and accounts. Daily banking and cashing up Report back to Head Office Answering
to be performed for 4 entities Processing of banks via Bank Manager on Pastel Version 19 Processing Purchase Intermediate Excel, Word, Outlook and Email also essential Bank Manager on Pastel knowledge also required Previous
and to achieve lending, servicing, transactional banking and insurance sales targets through the marketing sales targets in terms of lending, transactional banking and insurance. Servicing of existing Old Mutual service experience (preferably in the Retail, Banking & Financial Industries) National Certification
and to achieve lending, servicing, transactional banking and insurance sales targets through the marketing sales targets in terms of lending, transactional banking and insurance. Servicing of existing Old Mutual service experience (preferably in the Retail, Banking & Financial Industries) National Certification
billing queries as requested. Import of bank files and preparation of bank reconciliations Assist with turnover Reconciliation of TB balances to investment and bank account statements Preparation of credit card reconciliations
to measure FINANCIAL ADMINISTRATION 1. Check all bank accounts are balanced daily 2. Petty cash capturing annual audit 1. Bank recon balanced daily and at month end within 3 workings of Bank Statement. 2. Petty documentation timeously to auditors DEBTORS 1. Manage Bank capturing of Receipts daily and petty cash receipts Debts outstanding 4. Manage Export procedures 1. Bank recon balanced – suspense accounts not exceeding
qualifications 5 years' minimum experience in a Bank environment dealing with mortgage or Mortgage Origination
qualifications 5 years' minimum experience in a Bank environment dealing with mortgage or Mortgage Origination
returns. Payments on ERP system and directly on Bank platform Assist with reporting. Foreign transactions/
returns. Payments on ERP system and directly on Bank platform Assist with reporting. Foreign transactions/