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Teller Absa Bank In Rustenburg Jobs in East London

Jobs 1-10 of 43

Adviser Life Spm Fais

 Absa GroupSouth Africa

rich history and strongly positioned as a local bank with regional and international expertise, a career tools and support to unlock your potential. You are Absa. You are possibility. Job Summary Provide specialist service providers, business partners and other Absa entities | Sales Target : Proactively make self-initiated


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Casual Cashiers - Berea Pharmacy - East London

 Dis-chem PharmaciesSouth Africa

purchases - receive and process all payments (cash, bank cards, vouchers, coupons, other forms of payments) Lifestage, Momentum Multiply, Legacy Lifestyle, ABSA Rewards and eBucks) Ensure cash is placed in drop


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Account Analyst-east London (commercial)

 Capitec Bank HoldingsSouth Africa

individuals who share our passion for service in the banking industry. To be part of the journey, follow the 1 year should have been spent in the Business Banking environment. Experience in preparing and motivating in Commerce or Banking Qualifications (Ideal or Preferred) Bachelor's Degree in Banking or Commerce Knowledge offerings. General banking practices and procedures. Understanding of how Business Banking operates, as well processes and procedures pertaining to Business Banking transactions. Client relationship management and


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Senior Bookkeeper

East London  Negotiable

Responsibilities: Weekly bank statements to be run from the banks Weekly bank transactions to be uploaded the batch in the accounting package Perform weekly bank reconciliations Allocate petty cash / credit card needed Review the petty cash reconciliation All banking details to be validated and loaded on to Acumatica application form completed and loaded in Acumatica (banking details & PO process) Reviewing of creditors


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Bookkeeper, East London NEW

East London  R18 000.00 Monthly

to:

  • Import and match banking transactions and handle bank reconciliations
  • Complete accounts and monitor bank accounts
  • Month end debtors’ recons
  • Banking and petty cash co


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Senior Bookkeeper

East London

clientsResponsibilities:Weekly bank statements to be run from the banksWeekly bank transactions to be uploaded the batch in the accounting packagePerform weekly bank reconciliationsAllocate petty cash / credit card neededReview the petty cash reconciliationAll banking details to be validated and loaded on to Acumatica application form completed and loaded in Acumatica (banking details & PO process)Reviewing of creditors


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Bookkeeper

South Africa  Negotiable

Responsibilities; Weekly bank statements to be run from the banks Weekly bank transactions to be uploaded transactions and update the batches Perform weekly bank reconciliations Allocate petty cash/credit card needed Review the petty cash reconciliation All banking details to be validated and loaded onto system reconciliation Loading payments and beneficiaries onto the banking platform Review weekly reconciliation on the debtors


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Bookkeeper

South Africa  Negotiable

Responsibilities: Import bank transactions and match the banking transactions Perform bank reconciliation Reimbursing recording staff accounts support Monitoring the bank balances Perform month-end reconciliation on the debtors clearing accounts (Cash, card and other) Bank and petty cash WHT adjustment (As payments are made) accurate amount on time Loading the payments onto the banking platform or using the accounting package what to daily Import sales from the ERP systems, match the banking transactions and follow up on differences in debtors


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Assistant Accountant - 11 Months Ftc

South Africa  Negotiable

assist in general ledger reconciliations. Perform bank reconciliations. Process all transactions into the management Review and authorise banking daily using the organisation’s online banking system and ensures that facilitate payment of funded projects. Liaise with banks and clients regarding forex invoices for payment


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Assistant Accountant - 11 Months Ftc - Eastern Cape, East London

 Abantu Staffing SolutionsEast London  Undisclosed

assist in general ledger reconciliations. Perform bank reconciliations. Process all transactions into the management Review and authorise banking daily using the organisation's online banking system and ensures that facilitate payment of funded projects. Liaise with banks and clients regarding forex invoices for payment


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