Maintain relationships with clients Action leads Cold calling to grow your client base Must have experience posting Maintain relationships with clients Action leads Cold calling to grow your client base Must have experience posting Maintain relationships with clients Action leads Cold calling to grow your client base Must have experience posting
experience in a role doing telesales, cold calling, making lots of calls a day Must be computer literate across through inbound lead follow-up and outbound cold calls, emails and client connects Understand customer
Reference: JHB001858-Lerat-1 A banking client seeks to hire an experienced and qualified LEAD SOLUTION be agreed based on qualifications, applicable banking experience and previous earnings. Hourly
Reconcile and Prepare batch payment Age Analysis Bank sub-ledger Ensure all invoices are captued in Accpac monthly basis between systems to ensure stock balances Bank Sub Ledger - Assist with queries from the Treasury
balance of 5 to 6 copmany's accounts which includes: Bank Reconciliation's Journals Processing/capturing of companies Check and verify EFT payments in Standard Bank's website Please apply directly, by clicking on the
balance of 5 to 6 copmany's accounts which includes: Bank Reconciliation's Journals Processing/capturing of companies Check and verify EFT payments in Standard Bank's website Please apply directly, by clicking on the
Our client is a registered accredited training centre and provides training and guidance to become a
current and renewables. Consulting experience - Data Centres with the Grid Connections Battery Energy Storage
Our client is a registered accredited training centre and provides training and guidance to become a
skills- 1. Conduct end-to-end testing of Core Banking systems, including various types of accounts (e Loan) from onboarding to GL validations. 2. Test bank's single facility accounts and associated scenarios functionality and accuracy. 3. Perform testing on the bank's lending products, such as Personal Loan, Credit ensure adherence to banking regulations and internal policies. 7. Verify the bank's products and pricing financial transactions processing. 9. Understand the bank's reconciliation process and perform corresponding