Responsibilities: Daily Cashbook processing and Bank reconciliation Processing of Monthly journals Ensuring Report to be submitted on status of Insurance Claims. Bank queries and administration regarding new credit manager as and when required Daily capturing of the bank account, Allocation to debtors' accounts, Management
system. Assist with service calls when necessary Banking Track outstanding cash Requirements: Must have
Managing relationships between the client and the bank/insurance provider Ensuring statutory requirements
training staff Computer literate Matric certificate Valid drivers license Good part knowledge and understanding
Stay updated on industry developments and share knowledge. Assist with transmission and distribution projects assessments, financial modelling for energy projects. Knowledge of local and international energy codes, standards problem-solving skills. Fluent in English; French knowledge advantageous- Adaptability to fast-paced environments multitasking, teamwork, pressure handling- Strong computer skills. Willingness to travel internationally
date Prior/Current experience as an F&I or Banking experience as a BDO with a proven track record
outstanding payments. Reconcile Accounts : Reconcile bank statements with the company's ledger. Ensure all
outstanding payments. Reconcile Accounts : Reconcile bank statements with the company's ledger. Ensure all
last 12 months Available to start immediately Computer literate About you: Want to be part of a dynamic industry. Be able to quickly acquire product knowledge quickly. Have a good marketing personality. Be
last 12 months Available to start immediately Computer literate About you: Want to be part of a dynamic industry. Be able to quickly acquire product knowledge quickly. Have a good marketing personality. Be