Analyst: Banking: 1 Year FTC This invitation is for an amazing candidate to join the banking client and for the CIB business unit contributing toward the bank and the group requirements to SARB-PA as well as recommendations. Ensure understanding and compliance to banking regulations as well as internal policies. Manage Minimum Experience Level: 2 – 4 years' experience in Banking/Financial services environment Technical / Professional writing l Microsoft Office l Banking regulatory knowledge l IT / Banking knowledge Please note: communication
Analyst: Banking: 1 Year FTC This invitation is for an amazing candidate to join the banking client and for the CIB business unit contributing toward the bank and the group requirements to SARB-PA as well as recommendations. Ensure understanding and compliance to banking regulations as well as internal policies. Manage Minimum Experience Level: 2 – 4 years' experience in Banking/Financial services environment Technical / Professional writing l Microsoft Office l Banking regulatory knowledge l IT / Banking knowledge Please note: communication
Regulatory Reporting Analyst: Banking: 1 Year FTC
This invitation is for an an amazing candidate to join the banking client and produce and supply regulatory reporting requirements for the CIB business unit contributing toward the bank and the group requirements to SARB-PA as well as
Ensure understanding and compliance to banking regulations as well as internal policies.
Manage Experience Level: 2 – 4 years’ experience in Banking/Financial services environment
Technical
experience in a Transactional management role in the banking or financial services industry of which 2-3 years specialist level
financial records, and optimizing liquidity. This position is an exciting opportunity for a professional Responsibilities: Monitor and manage the company's cash position to meet operational needs. Prepare and execute and update the treasury management system and banking platforms. Handle foreign currency transactions
financial records, and optimizing liquidity. This position is an exciting opportunity for a professional
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 supporting documents for reconciliation Run Bank changes report Capture bank changes on the system Creditors report
entries/journals. Reconciliation: Processing and reconciling bank accounts, credit cards accounts, petty cash accounts clients on unpaid bills. Reconciling bank statements: Reconciling bank statements to ensure that all transactions balances in the accounting software matches the bank statements received from the financial institutions
Description Position description / overview: A vacancy exists for an Accounts Clerk (FTC), based in East daily basis ensuring compliance with cash and banking procedures and liaising with the relevant parties
Description Position description / overview: A vacancy exists for an Accounts Clerk (FTC), based in East daily basis ensuring compliance with cash and banking procedures and liaising with the relevant parties