Qualification Requirements: BSc in Accounting, Economics, Banking and Finance or relevant field Proven work experience
compliance adherence. Treasury: Administrator for the bank accounts. Manage and determine cash flow requirements
overseas shipment. Compile and send documents to the bank relating to evidence of importation Assist with
through the analysis of financial information such as bank statements, financial statements and management
through the analysis of financial information such as bank statements, financial statements and management
experience in the conveyancing and debt recovery sector/banking experience. Preferred Experience: •More than 2
experience in the conveyancing and debt recovery sector/banking experience. Preferred Experience: •More than 2
balances/Monthly budget/Daily budgets) Releasing payments on banking platforms Monitoring and updating of weekly accounts
Proven experience in project finance, investment banking, or a related field. Strong analytical and financial
Utilize relevant software platforms e.g. e-filing, banking, etc. to complete and submit returns and make payments penalty payments are made timeously Reconcile cashbook/bank statements and petty cash Ensure that all payments