including accounts payable, bank, fixed assets, and general ledger entries. Reconcile bank statements with the accounts. Perform Accounts Payable; Fixed Assets; Bank; GL Recons. Audit file preparation. Relevant Finance
technology company that offers exposure to the banking industry. They are a specialist financial services Corporate / Investment / Banking industry experience Exposure to Investment Banking Applications such as
adhering to regulatory guidelines. Bank Reconciliations: Conduct thorough bank reconciliations to ensure all Authorizing Online Banking Payments: Safeguard financial transactions by authorizing online banking payments accurately
Join a long serving bank and financial services group, committed to providing banking, insurance and asset asset management services. This bank is counted as Africa''s biggest lender by assets, they are to the standards, frameworks, and roadmaps of the bank.
Responsibilities:
resolved promptly. Online Banking Payment Management: Efficiently manage online banking systems, loading payments and securely. Bank Processing & Reconciliations: Ensure seamless reconciliation of bank transactions
adhering to regulatory guidelines. Bank Reconciliations: Conduct thorough bank reconciliations to ensure all Authorizing Online Banking Payments: Safeguard financial transactions by authorizing online banking payments accurately
resolved promptly. Online Banking Payment Management: Efficiently manage online banking systems, loading payments and securely. Bank Processing & Reconciliations: Ensure seamless reconciliation of bank transactions
At least 3 years' experience in: o Retail and banking solutions o Facilitating workshops with customers Understanding of banking Specifications and Standards o Understanding of the banking environment o Understanding Understanding of banking Best Practises and basic accounting skills o Good knowledge of general management
including validating, categorizing, and logging bank statement data. Manage all incoming customer payments miscellaneous bank transactions, such as interest and bank fees. Perform daily reconciliation of bank statements
including validating, categorizing, and logging bank statement data. Manage all incoming customer payments miscellaneous bank transactions, such as interest and bank fees. Perform daily reconciliation of bank statements