Main job function Transactional Banking Administration Assistant – Gauteng – 3-month Fixed term contract administrative duties of on boarding business banking accounts and ensuring excellent customer services new and existing clients, whilst adhering to the banks policies and procedures. MAIN FUNCTIONS OF THE JOB documentation, activates debit card, Electronic Banking services as per client's request. Monitors and Attends to client's Electronic Banking requests such as Statements, Banking letters etc. Manages and ensures
Introduction One of the TOP banks in S.A. Description One of the TOP banks in S.A. are urgently looking have good grades LLB / Paralegal studies with practical experience - must have good grades High level have good grades LLB / Paralegal studies with practical experience - must have good grades High level
One of the TOP banks in S.A. are urgently looking for LLB / Paralegal candidates with experience to good grades
preferably Standard Bank is ideal but experience with Absa Bank and /or Nedbank is also acceptable. Well
preferably Standard Bank is ideal but experience with Absa Bank and /or Nedbank is also acceptable. Well
Introduction One of the TOP banks in S.A. Description One of the TOP banks in S.A. are urgently looking have good grades LLB / Paralegal studies with practical experience - must have good grades High level have good grades LLB / Paralegal studies with practical experience - must have good grades High level
administration. • Educational Qualification: Grade 12 Responsible for banking administration; • Mailing of monthly
administer all timeously in the store related to daily banking, price changes, staff scheduling and employment other documents, and preparing it for deposit at bank 3. Counting and recording money received and/or sales records 4. Ensure accurate and timeous daily banking and reconciliations 5. Daily reporting all discrepancies weekly stock counts in accordance with count schedule 11. Plan and prepare and administer all stock take counts
administer all timeously in the store related to daily banking, price changes, staff scheduling and employment other documents, and preparing it for deposit at bank 3. Counting and recording money received and/or sales records 4. Ensure accurate and timeous daily banking and reconciliations 5. Daily reporting all discrepancies weekly stock counts in accordance with count schedule 11. Plan and prepare and administer all stock take counts