purposes Prepare month end reconciliations and documentation to support the trail balance Assist with financial
purposes Prepare month end reconciliations and documentation to support the trail balance Assist with financial
statements Preparing working papers and audit documentations Contributing to the analysis and interpretation
Liase with the bank Weekly recon of state sector documents Claims Qualifications: Matric Credit Management
Liase with the bank Weekly recon of state sector documents Claims Qualifications: Matric Credit Management
statements Preparing working papers and audit documentations Contributing to the analysis and interpretation
responsible for the below: Ensure timely delivery of documents to clients with all required supporting materials and conduct quality control checks on client documents. Monitor client card statements bi-monthly for
responsible for the below: Ensure timely delivery of documents to clients with all required supporting materials and conduct quality control checks on client documents. Monitor client card statements bi-monthly for
responsible for the below: Ensure timely delivery of documents to clients with all required supporting materials and conduct quality control checks on client documents. Monitor client card statements bi-monthly for
responsible for the below: Ensure timely delivery of documents to clients with all required supporting materials and conduct quality control checks on client documents. Monitor client card statements bi-monthly for