generating age analysis. Monthly reconciliations for the FNB current account, petty cash, and credit cards, ensuring Duties: Maintaining organized files for journals, bank statements, and cashbook imports. Reconciling supplier
top-notch SAIPA training in Pretoria A SAIPA learnership is a practical training programme whereby an
- 15h00 Monday to Friday Responsibilities: Draw bank statements from the system daily; Conduct recons
- 15h00 Monday to Friday Responsibilities: Draw bank statements from the system daily; Conduct recons
successful systems in fintech, payments, retail banking, credit, e-commerce or logistics Recent experience
payments received to correct accounts. Follow up with Bank on payments that needs verification. Resolve customer