One of the TOP banks in S.A. is currently looking at filling a maternity role as a JSE Equity Settlements
the Protection of Personal Information Act (4 of 2013), hereinafter referred to as the “Act”. The SPAR us in the future including but not limited to, banking details, criminal history and credit reports /financial
the Protection of Personal Information Act (4 of 2013), hereinafter referred to as the “Act”. The SPAR us in the future including but not limited to, banking details, criminal history and credit reports /financial
Team Manager: R2R, with all day-to-day general banking processes for the trading and services divisions Accountants-Banking, this role will be responsible for the efficient and effective posting of bank journals journals, bank clearings, bank account processing, reconciliations, and assisting with all financial month quality standards agreed in the Record to Report SLAs. Process and perform bank processing and bank queries Process bank journals and journal adjustments for all divisions. Assist R2R Team Manager in bank reconciliations
Team Manager: R2R, with all day-to-day general banking processes for the trading and services divisions Accountants-Banking, this role will be responsible for the efficient and effective posting of bank journals journals, bank clearings, bank account processing, reconciliations, and assisting with all financial month quality standards agreed in the Record to Report SLAs. Process and perform bank processing and bank queries Process bank journals and journal adjustments for all divisions. Assist R2R Team Manager in bank reconciliations
support for banking and month-end payment
Ensuring compliance with accounting standards and regulations
responsible for the below:
Financial Manager when necessary. Key Performance Areas Bank & cash - full function Property plant & Inventory General Reporting Bank & cash - full function First review of monthly bank reconciliations (Local) (Local) Preparation of monthly bank reconciliations (Foreign) Reviewing and releasing payments and providing petty cash reconciliations nationally Reporting on bank balance daily to H/O Property plant & equipment verification and compile verification reports as per BCP standard Control of additions and disposals Accounts Receivable
Outlook)
financial recording and reporting in accordance with standard accounting practices. Ensure all accounts are fund availability for salaries and wages. Complete bank account uploads and reconciliations within required relationships with External and internal stakeholder (banks, lenders and internal) to ensure approval of new including International Financial Reporting Standards and management Please note that only shortlisted