statements, accounts payable and receivable, and bank statements Preparation for authorization of payments including foreign transactions, through online banking systems Maintain the Fixed Asset Register and ensure month-end accruals and manage daily cash flow for bank accounts Oversee the processing of sales, purchases including cost calculations and compliance with banking regulations Requirements: Diploma or Degree in
the Director of the business. Responsibilities: Bank Reconciliation and Cash Flow Projections Monthly
of relevant balance sheet recons (Debtors' Book, Bank Reconciliations, Suspense Accounts) Systems Administration
of relevant balance sheet recons (Debtors' Book, Bank Reconciliations, Suspense Accounts) Systems Administration
services industry (Fintech, Asset Management, Banking) Minimum of 5-7 years of experience in financial
services industry (Fintech, Asset Management, Banking) Minimum of 5-7 years of experience in financial