suitably qualified candidate into the position of Banking Refunds Contact Agent. This position is based at from patients regarding refunds by using their knowledge of products or services as well as great customer balance is valid and display excellent product knowledge. • Contact clients as per details provided to (Finance/Accounting/Business Administration) Relevant Job Knowledge: Healthcare billing procedures, documentation
suitably qualified candidate into the position of Banking Clerk. This position is based at Lance Laboratories duties pertaining to the cashiering/banking • Attends to the Lancet Bank Recon system and MCTR system pertaining the internet banking system and the bank's account verification system ensuring that banking details are (Finance/Accounting/Business Administration) Relevant Job Knowledge: Healthcare billing procedures, documentation
The focus of this role will be on Foreclosure or Banking Litigation. The successful candidate will provide Summonses, Section 129 notices and all other banking litigation related documentation. Ability to work strict turnaround times. Ability to liaise with banks and debtors in the prescribed manner. Ability to
Agricultural Banking & Monitoring Support function and provide agricultural expertise to the Banking and Risk book and mitigating potential risk on behalf of the Bank. •Translate the corporate plan into actionable projects
vital role in ensuring the seamless execution of banking and investment transactions. From opening and closing responsibilities will also include managing E-Banking users, handling client queries, and reconciling
Completed SAIPA articles beneficial Previous knowledge of lawyer trust account bookkeeping essential investment platforms: Corporate Saver, Standard Bank TPFA, ABSA AMS Opening and closing of Investments reconciliations Monthly Trust bank reconciliations: FNB, Nedbank, Standard Bank, ABSA Management of advocate
between bank accounts efficiently. Maintain beneficiaries on banking platforms. Collect proof of bank account monthly cash book transactions accurately. Perform bank reconciliations to ensure accuracy and identify Accounting. Experience with working on banking platforms such as Nedbank, ABSA, FNB & SBSA. Must be fully (verbal and written communication). Must be fully computer literate, especially in Microsoft Excel and/or while enjoying contributing to a team of highly knowledgeable professionals.
transactions (Sales & purchase invoices & bank statements) Bank reconciliations Payments Debtors & creditors support Finance Diploma / Certificate Strong computer knowledge (MS Word, Excel, Accounting software) 5yrs
Accountabilities / Key Performance Areas - Fixed deposits - Bank statements - VAT - Fixed assets (additions, disposals Record all bank statements in Baan daily (Cashbook) Daily Reconciliation of Standard Bank Statements payments (local and foreign) on banking system Daily uploads of Bank Statements to Coupa (previous Bellin) the various bank General Ledger accounts. Revaluation of Foreign Loan accounts & Bank accounts Management LIP to FAM Maintaining fixed asset on Cartesis Computer Skills The applicant must be proficient in MS
and effective manner with strict adherence to the Bank's policies and procedures. the candidate can be based non-FICA compliant customers and sureties on the bank's system •Updating of existing CIF information on transactions. •Creation of all finance facilities on core banking system for new, increase, decrease and modification information on the Bank's document management system •Creation of drawdown on core banking system for finance required Pay-out •Finalising drawdown on core banking system and submission to Credit Administration