years data analyst experience Financial industry (banking/finance/insurance) beneficial Power BI (Including
timely payment of outstanding invoices Maintain bank accounts on the ERP system, ensuring proper recording
Foreign) – Preparing payments daily/weekly/monthly Bank Reconciliation (Weekly and Monthly) Other reconciliations
environment? Our client, a leading name in the banking industry, is looking for a Finance Reporting Manager
contracts and documentation (contract, annexure, banking details, sending to payroll and filing of packs)
contracts and documentation (contract, annexure, banking details, sending to payroll and filing of packs)
including ledgers, invoices, and receipts. Reconcile bank statements and ensure discrepancies are resolved
to property transactions. Liaising with clients, banks, and other stakeholders to ensure smooth processing
to property transactions. Liaising with clients, banks, and other stakeholders to ensure smooth processing
commission system Monitor and reconcile the daily bank statement for both Company Advisory and company provider commission statements relative to the daily bank deposits received Create and process manual commission