card RE 5 Certificate FETC Retail Insurance or Banking Qualification Class of Business Current CPD Cycles
card RE 5 Certificate FETC Retail Insurance or Banking Qualification Class of Business Current CPD Cycles
cashbooks - Debtors reconciliation Creditors recon - Bank recon - Update & reconcile loan accounts Loan Performance Areas: Processing of various cash books and bank reconciliations Reconciliation of general ledger
(CMS) and update any changes to existing suppliers banking and financial details. Ensure that the approval meticulous data management to uphold organizational standards and exceed client expectations. Requirements:
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receivable, and general ledger entries.
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compliance with policies and procedures regarding the bank's financial assets. Facilitate the closure of deal 7 years' experience in wholesale transactional banking environment. Experience in the financial services
reports in a timely and accurate manner. Reconcile bank statements and monitor cash flow to ensure accuracy
receivable, and general ledger entries. Reconcile bank statements, ensuring accuracy and timely resolution