for bank and cash Ensuring effective control of 30 cashbooks and monthly reconciliation of bank statement
include but are not limited to: Preparation of monthly bank reconciliations, both local and foreign Reviewing verification and complete verification report as per BCP standard Review of creditor reconciliations for Gauteng
include but are not limited to: Preparation of monthly bank reconciliations, both local and foreign Reviewing verification and complete verification report as per BCP standard Review of creditor reconciliations for Gauteng
literate with knowledge of all Microsoft Office Programmes. – Knowledge of Autoline/CRM system is an added
includes: Dealing with outstanding accounts Age analysis Bank statement reconciliations Ad- hoc accounting functions
extra mile ● Team player Duties: ● Capturing daily banking vs Sales ● Following up on daily paperwork from
knowledge/understanding on the following: Delegation of Authority Bank/Account Reconciliation Hedging Transactions Current
qualify for selection and participation in this programme, candidates must satisfy the following criteria:
qualify for selection and participation in this programme, candidates must satisfy the following criteria:
responsible for shaping the technical API economy for the bank. Work within the Platforms and Engineering Gateway Take accountability for maintaining platform standards and best practices, and drive adoption across