Reference: NCM001647-RMt-1 Amazing opportunity in the insurance industry available for a go getter Amazing opportunity in the insurance industry available for a go getter Job Description This concern dominating in the insurance space is on the lookout for a tech savvy individual to join their actuar
Reference: NCM001648-RMt-1 Amazing opportunity in the insurance industry available for a go getter Job Description This concern dominating in the insurance space is on the lookout for a tech savvy individual to join their actuarial department as a Business Analyst – Consolidation on a 12 months ba
Reference: NCM001649-RMt-1 Amazing opportunity in the insurance industry available for a go getter Job Description This concern dominating in the insurance space is on the lookout for a tech savvy individual to join their actuarial department as a Business Analyst – Finance Allocations on a 12 mon
Outputs and Responsibilities: Output 1 - Cash and Bank Management: Assisting with the monitoring of daily dealing with credit cards, forex payments and other banking requirements. Also involves assisting brands within preparing and signing off on forms required for their banking needs. Loading payments on an ad-hoc basis when
Outputs and Responsibilities: Output 1 - Cash and Bank Management: Assisting with the monitoring of daily dealing with credit cards, forex payments and other banking requirements. Also involves assisting brands within preparing and signing off on forms required for their banking needs. Loading payments on an ad-hoc basis when
Outputs and Responsibilities: Output 1 - Cash and Bank Management: Assisting with the monitoring of daily dealing with credit cards, forex payments and other banking requirements. Also involves assisting brands within preparing and signing off on forms required for their banking needs. Loading payments on an ad-hoc basis when
for bank and cash Ensuring effective control of 30 cashbooks and monthly reconciliation of bank statement
for bank and cash Ensuring effective control of 30 cashbooks and monthly reconciliation of bank statement