department. You will understand the process of banking, reconciliations, preparing annual financial statements in employee benefits will be a huge advantage. Banking Disinvestments Investments Prepare annual financial
department. You will understand the process of banking, reconciliations, preparing annual financial statements in employee benefits will be a huge advantage. Banking Disinvestments Investments Prepare annual financial
Regulatory and Industry bodies such as FSCA and ASISA Banks, Custodians and Trustees Fund Administrators Brokers Place excess cash in Current accounts on Call with banks Withdraw from call when required so ensure liquidity call accounts with new banks Maintain active accounts and relationship with banks Producing various reports
Regulatory and Industry bodies such as FSCA and ASISA Banks, Custodians and Trustees Fund Administrators Brokers Place excess cash in Current accounts on Call with banks Withdraw from call when required so ensure liquidity call accounts with new banks Maintain active accounts and relationship with banks Producing various reports
Reference: JHB000732-LG-2 An industry leading Bank has an exciting opportunity available for a Solutions Architect (pre-sales advantageous) in the insurance or banking industry. Evidence of delivering Proof of concept incremental release philosophy and practice. Insurance, Banking and Finance experience Understand relational database methods. Service-Oriented Architecture. Ideal: Banking systems Insurance systems Knowledge of UML Cloud
Reference: JHB000732-LG-2 An industry leading Bank has an exciting opportunity available for a Solutions Architect (pre-sales advantageous) in the insurance or banking industry. Evidence of delivering Proof of concept incremental release philosophy and practice. Insurance, Banking and Finance experience Understand relational database methods. Service-Oriented Architecture. Ideal: Banking systems Insurance systems Knowledge of UML Cloud
EMP201returns TAX Cashflow Cashbook entries & bank reconciliation Petty Cash administration Preparation
EMP201returns TAX Cashflow Cashbook entries & bank reconciliation Petty Cash administration Preparation
payments and receipts are recorded correctly on bank and nostro accounts. Conduct daily script and position Requirements: A Bachelor's degree or Diploma in Banking or Finance is beneficial. Over 7 years of back-office back-office experience, preferably in the banking and financial services industry, with a focus on settlement
Responsibilities: Capturing of bank statements on Xero. Reconciling bank statements. Prepare customer invoices Petty Cash - capture expenses and receipts, process bank recon on Xero, distribution of money when needed