Reference: JHB000582-Maseg-1 Our client in the banking industry is looking for a Recons Analyst on a six domestic and internal accounts. Also ensure that all bank statements have been received and that these are domestic and internal accounts. Ensure that all bank statements have been received and that these are are available on Intellimatch and Storqm (Bank's reconciliation system). Check that all data required to relevant reconciliation systems from the various Bank's processing and settlement systems. Perform daily
Reference: JHB000582-Maseg-1 Our client in the banking industry is looking for a Recons Analyst on a six domestic and internal accounts. Also ensure that all bank statements have been received and that these are domestic and internal accounts. Ensure that all bank statements have been received and that these are are available on Intellimatch and Storqm (Bank's reconciliation system). Check that all data required to relevant reconciliation systems from the various Bank's processing and settlement systems. Perform daily
implementing transactions within the transactional banking sector. We require a candidate with: 5 years' experience experience in transactional management within banking or financial services A postgraduate Degree in similar field In-depth knowledge of transactional banking products, services, and operations Strong analytical
Fincon including month end journals Assist with FNB debtors finance audit Petty cash management Maintaining
To market and sell Transactional Banking solutions to meet the needs of customers and stakeholders
years’ experience in General Ledger, Journals and Bank Reconciliation, Accounts Payable and Accounts Receivable years’ experience in General Ledger, Journals and Bank Reconciliation, Accounts Payable and Accounts Receivable controls Bank: daily allocation and monthly reconciliations of foreign currency bank accounts Bank: releasing
years experience in General Ledger, Journals and Bank Reconciliation, Accounts Payable and Accounts Receivable years experience in General Ledger, Journals and Bank Reconciliation, Accounts Payable and Accounts Receivable controls
Bank: daily allocation and monthly reconciliations of foreign currency bank accounts
Bank: accounts
Bank: releasing of supplier payments
Credit Cards: management and reconciliations of credit
One of the leading global banks is looking for a Credit Risk Manager. The bank provides a wide range of they offer services such as corporate banking, retail banking, trade finance, and treasury operations one of the world's largest and most influential banks. Thus, this position is responsible for analyzing analyzing credit applications made by the corporate banking and treasury departments, including risk review credit policy and related credit policies of the bank and to provide training on the aforementioned as
Transactions: You will be responsible for capturing all bank statement transactions accurately. This includes includes verifying, classifying, and recording bank statement data on a daily basis. Customer Receipts Allocation: fashion. Reconciliation: Daily reconciliation of bank statements to ensure all transactions are accounted Financial Tasks: Process ad-hoc bank transactions such as interest and bank fees. Support with other finance-related Minimum 4 years in a similar role with experience in bank statement processing and data capturing. Proficiency
Transactions: You will be responsible for capturing all bank statement transactions accurately. This includes includes verifying, classifying, and recording bank statement data on a daily basis. Customer Receipts Allocation: fashion. Reconciliation: Daily reconciliation of bank statements to ensure all transactions are accounted Financial Tasks: Process ad-hoc bank transactions such as interest and bank fees. Support with other finance-related Minimum 4 years in a similar role with experience in bank statement processing and data capturing. Proficiency