An established investment bank operating on a Pan-African basis and specializing in private credit and work in South Africa Working with the investment banking and investment management teams in terms of reviewing Helping to uphold best practice in the investment banking and investment management teams Managing the process
position in Corporate Banking not Retail Banking. Senior Dealer in the Banking Sector to partake in all Treasury Dealing and or Operations - Corporate Banking 8 years-Desirable R1.3 million ctc per annum, depending
services sector, particularly within Lending and Banking environments. Proven track record in credit risk
services sector, particularly within Lending and Banking environments. Proven track record in credit risk
Join one of South Africa's leading banks and embark on a dynamic career journey in the heart of Worcester experience, and contribute to shaping the future of banking in South Africa. Participate in comprehensive training including but not limited to: - Retail Banking - Corporate Banking - Risk Management - Marketing and Communications environment and adapt to change. Passion for the banking industry and commitment to continuous learning
the TOP 4 banks in S.A. Description One of the TOP 4 banks are seeking an experienced banking individual No less than 2- 3 years' relevant experience in banking / back office financial services First line of No less than 2- 3 years' relevant experience in banking / back office financial services First line of
at the forefront of shaping the future of the banking industry. As our team continues to grow, we are in driving change management activities for our banking client's projects, ensuring seamless implementation transformative change initiatives in the fast-paced banking industry, working on high-impact projects that Impactful Work: Make a tangible impact on our banking client's organization, driving faster change implementation be part of a dynamic team driving change in the banking industry, we want to hear from you Join Losika
responsible for reconciliations, preparations and passing of journals for accruals. This also handles the preparation of monthly accruals. Main duties: To check bank statements for suspicious transactions Report suspicious payment done outside the system (FNB) Cash book and Bank reconciliation Conduct cash book entry to reconcile Everest Conduct EFT for payments Do second level Bank authorisation Confirmation of budget allocation Effect the payments on the FNB platform Monthly Bank reconciliations Do credit card and petty cash reconciliations
beneficial
responsible for reconciliations, preparations and passing of journals for accruals. This also handles the accruals.
Main duties:
To check bank statements for suspicious transactions
Report done outside the system (FNB)
Cash book and Bank reconciliation
Conduct cash book entry to Everest
Conduct EFT for payments
Do second level Bank authorisation
Confirmation of budget allocation form
Effect the payments on the FNB platform
Monthly Bank reconciliations
Do credit card and petty cash