processing finance applications Sharing these for bank approval Structuring finance packages to best suit negotiations with banks Contract drawing with financial instuitions Signing up bank contracts Getting Getting deals paid out by the banks Selling of VAPS to increase revenue on the finance deals Fais compliancy
the business – DEBTORS, CREDITORS, PETTY CASH, BANKING ACCOUNTS, STATUTORY RETURNS and monthly reporting asset registers · Preparing and balancing of the bank reconciliations, suppliers and customers · Propose
the business – DEBTORS, CREDITORS, PETTY CASH, BANKING ACCOUNTS, STATUTORY RETURNS and monthly reporting asset registers · Preparing and balancing of the bank reconciliations, suppliers and customers · Propose
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payables and accounts receivables -ensure timely bank payments -managing all accounting transactions -A
join their team. Invoicing and capturing Reconcile bank balances record general ledger entries Sage Accounting
a monthly basis Allocating electronic payments Banking / reconciling Sending reconciliation statements
advantage Other requirements Working knowledge of Banking systems/industry advantageous Fluency in English