and the administering of payments to the trust bank account Month end reconciliation of all section daily EFT payments in respect of business and trust bank accounts Preparation of EFT reconciliations used month and the printing of fee earner reports FNB Bank Recon Maintenance of the Fixed Asset Register, additions
and Online Banking EFT payments. Additionally, regularly reviewing and clearing the bank clearing accounts Setting up SAP and Online Banking EFT payments Regularly reviewing and clearing the bank clearing accounts in reimbursement Allocating deposits in the branch bank accounts on a daily basis Preparing and processing documents have been appropriately authorised, accurate banking details are included on the payment documentation
in accordance with the BBBEE definition South African citizen Unemployed Has not completed a Yes4Youth administrator: Answering the telephone and directing phone calls to the relevant person/department. Taking detailed (calendar updates, meeting reminders, etc.) Logging calls for Offsite/Content. Monthly recons for GM's company
in accordance with the BBBEE definition South African citizen Unemployed Has not completed a Yes4Youth administrator: Answering the telephone and directing phone calls to the relevant person/department. Taking detailed (calendar updates, meeting reminders, etc.) Logging calls for Offsite/Content. Monthly recons for GM's company
tutors, based at one of their cutting-edge contact centres in either Johannesburg, Umhlanga, Gqeberha or Cape Willingness to work shifts in person at a contact centre Reliable transport Excellent time management skills
tutors, based at one of their cutting-edge contact centres in either Johannesburg, Umhlanga, Gqeberha or Cape Willingness to work shifts in person at a contact centre Reliable transport Excellent time management skills
Strong International consolidations and treasury/banking exposure. Proficient in MS Office with advanced consolidate with group Budget Pack; Authorise online banking payments; Conduct relevant research to produce relating to Reporting or Treasury; Review and update banking facility letters and ensure adequacy of limits;
accounting system on time. Process daily cash books, make bank reconciliation. Manage local and foreign customers information updated in the system. Co-ordinate with bank for general enquiries and communications. Create Partner Computer skills Microsoft Office Internet banking Position 2: Responsibilities: Streamline and optimize
Effectively record merchandising activities Execute calls as per call cycle Advice RSM on out-of-stock products
Effectively record merchandising activities Execute calls as per call cycle Advice RSM on out-of-stock products