Join one of South Africa's leading banks and embark on a dynamic career journey in the heart of Worcester experience, and contribute to shaping the future of banking in South Africa. Participate in comprehensive training including but not limited to: - Retail Banking - Corporate Banking - Risk Management - Marketing and Communications environment and adapt to change. Passion for the banking industry and commitment to continuous learning
and growth of vibrant and dynamic financial and capital exchange market. KEY PERFORMANCE AREAS 1. Diversification staff Externally: Regional exchanges, Regulators, Banks AUTHORITIES AND DIMENSIONS Financial: Oversee the cheques Controls bank accounts and investment of fund Assets: Evaluates and recommends capital expenditure should be at executive position in an Exchange, Bank, Broking Company, Financial Regulator. Competencies:
Join one of South Africa's leading banks and embark on a dynamic career journey in the heart of Worcester experience, and contribute to shaping the future of banking in South Africa. Participate in comprehensive training including but not limited to: - Retail Banking - Corporate Banking - Risk Management - Marketing and Communications environment and adapt to change. Passion for the banking industry and commitment to continuous learning
financial plans, operational efficiency as well as capital assignment strategies. To be a successful financial control measures. Treasury and capital markets : Optimising our capital structure, managing liquidity
manage cost control
equipment • Develop, plan and control the maintenance, capital and project budget for the plant • Compliance to ad-hoc tasks • Plan, lead and manage improvement / capital projects • Support the production function • Plan
to problem solve
• Experience in working capital management
Duties/tasks
• Ensure that working capital management achieves optimum ROI for the business
articles experience
conducting reconciliations when necessary. Processing bank, card, and petty cash transactions, reconciling client information in finance systems, including bank and VAT details. Conducting periodic lease audits
conducting reconciliations when necessary. Processing bank, card, and petty cash transactions, reconciling client information in finance systems, including bank and VAT details. Conducting periodic lease audits