- invoicing and follow up on payments - Banking - recon bank accounts - keep financial records on assets
DT prod issues Data integrity issues relating to Bank service. Effects not cleared base 1, base 2, SMS provide Branch support for: internet banking / corporate banking / enterprise & UDT. Cards: order of interchange for the respective banks monthly. Extracts the bank's invoices from Visa Online monthly department for processing of payment – inclusive of Bank serve, ccd, DT, FG. Keeps an electronic and filed renewal purposes. Conducts fee comparison with other banks twice a year. Exco, ECC (includes EXCO Dashboard
and the administering of payments to the trust bank account Month end reconciliation of all section daily EFT payments in respect of business and trust bank accounts Preparation of EFT reconciliations used month and the printing of fee earner reports FNB Bank Recon Maintenance of the Fixed Asset Register, additions
cards, invoicing. Placing orders. Bank / petty cash / reconciliations. Bank payments. VAT, EMP returns. Matric
nage external banking relationships ABSA, Standard Bank, Standard Chartered Bank, Bank of New York M setting, and progress management with related Group banks. Develop and guide strategy implementation for trade
relation to Industrial Relations Experience in Call Centre, BPO environment or Retail preferred Must have
relation to Industrial Relations Experience in Call Centre, BPO environment or Retail preferred Must have
Warehouse and drop shipment Recons Cash Book and Bank Recons Credit Card Recons VAT201 submissions on all staff (74 employees) Bank Transfers from Pastel Payroll to online Banking Load new Employees, terminations
Warehouse and drop shipment Recons Cash Book and Bank Recons Credit Card Recons VAT201 submissions on all staff (74 employees) Bank Transfers from Pastel Payroll to online Banking Load new Employees, terminations
ong>