reconciliations for supplier/customer accounts and bank transactions.
accounts receivable, processing invoices, reconciling bank statements, and tracking payments. This role is •Follow-up on outstanding payments. •Reconcile bank statements and credit card expenses on a daily basis
selling Short Term Insurance, Life products and/or Banking Products
selling Short Term Insurance, Life products and/or Banking Products
Overall 5 years experience in similar position (Banking Industry preferred) Minimum 3 years' experience
documents for accuracy and notifying the relevant staff if additional information is required. •Ensure that entries are cross checked by another Operational staff and vice Versa. Issue Vouchers of Correction if
documents for accuracy and notifying the relevant staff if additional information is required. •Ensure that entries are cross checked by another Operational staff and vice Versa. Issue Vouchers of Correction if
responsible for the entire payroll with an average staff compliment of 700+
responsible for the entire payroll with an average staff compliment of 700+
book / petty cash book receipt and payment journal, bank reconciliation General journals Balance Sheet Asset