negotiation Drawing up finance contracts Signing up client bank contracts Selling of VAPS to increase second gross Drivers RE 5 NCA Card FETC Retail Insurance / Banking Qualification Class of Business Product Accreditation
negotiation Drawing up finance contracts Signing up client bank contracts Selling of VAPS to increase second gross Drivers RE 5 NCA Card FETC Retail Insurance / Banking Qualification Class of Business Product Accreditation
Managers as directed. Financial metrics Capturing of bank statements and EODs recons on a daily basis. Liaising are given adequate time to review cashbooks before posting. Preparing of monthly bank and EOD reconciliations Assist with company projects as allocated from time to time. Assist with year-end audit. Identifying creditor-related Strong numerical skills Excellent organisational and time management skills Honest and reliable Discretion
transactions and general accounting duties. Handle bank statements, supplier invoices, salary journals, verification of creditors, payments, and bank details. Perform weekly bank reconciliations, expense tracking
Bookkeeper DAILY: · Maintenance of banking and bank reconciliation · Online banking payments, transfers and Ad
Cape Town. Company Name: Terra. This is a full-time equity analyst assignment located in Cape Town with to detail. Ability to work independently and as part of a team. Strong communication skils, both written at reputable asset management firms, investment banks, or research houses to gain first-hand experience market to make yourself more marketable. It takes time and dedication to excel as a Junior Equity Analyst
Purpose of the job: You will have to simply capture bank statements on Pastel. There might be the occasional Monitor accounts (payable and receivable). Ensure timely processing of payroll Skills: Bookkeeping, Accounts
fixed asset register. • Review payments on the banking platform. • Managing the monthly cash flow projections that the business is adequality insured at all times. • Review of legal agreements. • Ensure all foreign
the Sales Executives Submit applications to the banks Effectively manages the processing of finance applications and paperwork are completed correctly and in a timely manner NCA Qualification CPD hours up to date Fully
Journals, GRN's etc. Assist with Creditors Petty Cash Banking Cash book processing Debtor information and queries manual and EFT cheque advices, reconcile payments on bank statements Inter department communications and follow