payments
Perform daily, weekly and monthly reconciliations of Bank accounts. Charge expenses to accounts and cost centers
experience in insurance product development in banking or telecommunications Strong knowledge of mobile
Cover.
payable/receivable, invoices, and payments. Reconcile bank statements and key General Ledger accounts. Process
Checking trade references, requesting ITC reports, bank codes as and when (if) required and verifying all
management reports. Accounts Reconciliation Reconcile bank statements, vendor accounts, and customer accounts
information; Establish and maintain relationships with the banks and IRBA; Provide advice and support to provincial
of financial records. 2.Reconciliations Reconcile bank statements, accounts payable, and accounts receivable