Qualifications
Matric
National Diploma Finance/Certificate in Banking
RE5 Completed within within allocated time
BCom Banking, Finance, Commercial (ideal) Experience
3 to 5 years'
the Banking System. Perform month-end procedures to ensure financial accuracy. Prepare weekly bank reconciliations and address unreconciled items promptly. Monitor bank accounts on a daily basis for discrepancies. Ensure and provide feedback to the Senior Accountant. National Diploma or Degree in Accounting, Financial Management computerized systems including Excel, JDE, and Banking System. Ability to thrive in a fast-paced, high-pressure fundamental accounting principles. Knowledge of electronic bank reconciliation processes. Familiarity with Financial
Introduction one of the 4 major banks in the country. Description Tied Advisor Role Purpose Engage with 1-2 Years Experience in a similar role. Completed First Level Regulatory Examination. (RE 5) Completed FSCA 1-2 Years Experience in a similar role. Completed First Level Regulatory Examination. (RE 5) Completed FSCA
Introduction one of the 4 major banks in the country. Description Tied Advisor Role Purpose Engage with 1-2 Years Experience in a similar role. Completed First Level Regulatory Examination. (RE 5) Completed FSCA 1-2 Years Experience in a similar role. Completed First Level Regulatory Examination. (RE 5) Completed FSCA
Weekly - Bi-Weekly Provide support in being the first point of contact to and for employees for payroll payroll and maintain payroll information Verify banking records/accounts for all new employees Capture relevant documents Ensure employees provide correct banking details. Ensure employees fill out employee biographical
Performance Areas: Payroll Provide support in being the first point of contact to and for employees for payroll payroll and maintain payroll information Verify banking records/accounts for all new employees Capture relevant documents Ensure employees provide correct banking details. Ensure employees fill out employee biographical
Weekly - Bi-Weekly Provide support in being the first point of contact to and for employees for payroll payroll and maintain payroll information Verify banking records/accounts for all new employees Capture relevant documents Ensure employees provide correct banking details. Ensure employees fill out employee biographical
Overview:
Our client, a leading Private Bank and Wealth Manager catering specifically for High-Net-Worth both life risk and investments products to Private Bank clients in accordance with FAIS legislation and clients
listed entity, with a strong, long-established National footprint, seeks an experienced Bookkeeper to Accountant: Perform daily bank reconciliation. Capture new users and update banking details onto the relevant