experienced but also passionate about client take-ons, managing the transition process and driving efficiency
monthly bank account reconciliations Preparing and managing ad hoc EFT payments Preparing income tax schedules
· GL recons for all balance sheet accounts · Managing logbooks for company fleet/vehicles · Monthly
announcements and financial statements Company management visits Attribution and performance analysis Quantitative
announcements and financial statements Company management visits Attribution and performance analysis Quantitative
applications Assist Credit Controller and Financial Manager with ad hoc duties Grade 12 Financial qualification
and continued education opportunities Build and manage your professional practice Qualifications Grade build relationships Good organisational and time management skills Good presentation skills Solutions orientated
the support of mail merge tools, quality data management and testing of batch generated letters and statements for this specialised role: Do the day-to-day management & distribution of the employer's electronic
the support of mail merge tools, quality data management and testing of batch generated letters and statements for this specialised role: Do the day-to-day management & distribution of the employer's electronic
success in insurance sales and client relationship management; Strong understanding of insurance products and