Pretoria Team Leader for Business Transactional Banking entails the full responsibility for co-creating clients Corporate and Institutional Bank, Business, Private Bank, Wealth and Investment business units units to source and develop Specialist Bank opportunities and assist in the implementation thereof within acquisition and growth budgets. (Core transactional banking, value added services, cash investments and foreign region’s growth of the Business Transactional Banking net interest income (NII) and non-interest income
Reconcile Intercompany transactions · Process ad hoc bank transactions · Audit preparation · Manage support
Reconcile Intercompany transactions · Process ad hoc bank transactions · Audit preparation · Manage support
producing board reports. QUALIFICATIONS & EXPERIENCE: 3-Year Tertiary Qualification: (B Compt Accounting and MS PowerPoint). 5-10 years of accounting experience applying International Financial Reporting Standards financial reporting and analytics experience. Supervisory experience. Advanced level of accounting principles processes and procedures. Extensive report writing experience. KEY DUTIES AND RESPONSIBILITIES: Entity Accounting: Authority. Release payments and approve transactions per bank mandates and delegation of authority. Identify and
returns.
income tax returns. Conducting reconciliations for bank accounts, debtors, and creditors. Creating and analysing
Construction Industry. 3-4 years' experience using BuildSmart. 3 years experience as an Assistant Financial Manager Manager. 4-5 years experience using Excel. Strong knowledge of accounting principles and construction towards CPA or equivalent certification is a plus. Experience in project costing and financial analysis in accounts payable and receivable processes. Reconcile bank statements and ensure all discrepancies are resolved
accommodation exchange, collections, cash payments and bank account reconciliations in accordance with Department Cashier Policy. Accepts only checks drawn on a US bank account and containing the required information Electronic Funds Transfer (EFT) to a customer's local bank account, as required. COLLECTIONS: Accepts cash government accounts. Accepts only checks drawn on a US bank account and containing the required information Machine-Readable Visa (MRV) Fees collected by the commercial bank and transmits to Charleston. Prepares monthly reconciliation
Creditors Clerk / Payments Clerk. Local creditor experience book value R8 million (current book value R11 R11 million at the company) Minimum 2 years' experience in the property management industry Preferably Preferably Software Program “WeConnectU” experience Good client and supplier relationship skills Shortlisted candidates
an Administrator with some basic bookkeeping experience for the Equestria area in Pretoria East Requirements: Requirements: Grade 12 2 years bookkeeping experience (Invoices, Quotes, etc.) Xero knowledge will be beneficial