innovation Formalize standard operating procedures Bank relationship – compliance documentation and agreements
and processing invoices
Process all online banking transactions
Manage the account receivable
parties
Reconcile financial statements and bank accounts
Aid the budgeting and forecasting
client onboarding administration.
EMP201 returns TAX Cash flow Cashbook entries & bank reconciliations Petty Cash administration Preparation
EMP201 returns TAX Cash flow Cashbook entries & bank reconciliations Petty Cash administration Preparation
adhering to technical, company standards, and banking legislation. Requirements: Essential: Matric / Diplomas/National 1st Degrees Preferred: Higher Certificate in Banking Services (NQF5) 2-3 years as a Client Services
adhering to technical, company standards, and banking legislation. Requirements: Essential: Matric / Diplomas/National 1st Degrees Preferred: Higher Certificate in Banking Services (NQF5) 2-3 years as a Client Services
team, ensuring smooth client onboarding, accurate bank reconciliations, proper documentation management with client onboarding administration. Assist with bank reconciliation on the Xero accounting program. Assist
instructions to outsourced administrator Degree in Banking, Finance, Investments or Insurance or related field