and on-boarding requirements as required by the Bank's documented policies and procedures. To provide correctly according to their dealings within the Bank To update CIFS, upload ODD documents and COB team when required Minimum - Matric/Certificate in Banking FICA experience Market Related
and on-boarding requirements as required by the Bank's documented policies and procedures. To provide correctly according to their dealings within the Bank To update CIFS, upload ODD documents and COB team when required Minimum - Matric/Certificate in Banking FICA experience Market Related
performance, security, and compliance with industry standards. Create and maintain technical documentation, acumen. Must be well equipped with compliance standards, development methodologies. Be able to form collaborative us in the future including but not limited to, banking details, criminal history and credit reports /financial
representative Cash Book Prepare bank reconciliation Obtain company bank statement and deposit slips on department Enter all desists and payments on the bank statement into the cash book in Accpac Review all cash ups and ensure cash & card receipts on the bank reconcile to expectation Ensure that all deposit deposit slips are reflected correctly on the bank statement and enter transactions onto Accpac Any outstanding be dealt with immediately File all deposit slips, bank statements and paid cheques Petty Cash Administer
funding/deal making/ investment environment, business banking, venture capital environment and/or development
shipment.
overseas shipment. Compile and send documents to the bank relating to evidence of importation Assist with
assess vehicle performance.
Utilize relevant software platforms e.g. e-filing, banking, etc. to complete and submit returns and make payments penalty payments are made timeously Reconcile cashbook/bank statements and petty cash Ensure that all payments
ze relevant software platforms e.g. e-filing, banking, etc. to complete and submit returns and make