thereof Creating bank templates for payments and loading all payments onto the bank Importing and uploading of cashbooks and completing cash book allocations Bank reconciliations Month-end processing of Sales, Cost
a fast-paced environment.
Group Internal Audit (GIA) team at our client, a top bank, is dedicated to providing independent, objective selection.
Join our team at our client, a top bank, and play a vital role in enhancing our internal
Finance business partnering function
internal journals
in a leadership role. Audit Expertise: AML and banking audit experience. Tech Savvy: Familiarity with
in a leadership role. Audit Expertise: AML and banking audit experience. Tech Savvy: Familiarity with
Review head office and operational GL recons Manage banking profiles and treasury functions Prepare AFS Responsible
in a Finance business partnering function Post graduate Degree BCom in Accounting CA(SA) or similar Knowledge
operational GL reconciliations