Reference: JHB001898-SS-1 A bank is seeking a dynamic and experienced Head of Financial Control and Procurement manage the financial control function within the bank and its subsidiaries. This role is critical in developing internal departments, external parties, and the Bank's Executive Committee. Lead and oversee financial corporate finance-related matters in line with the Bank's strategic goals. Work closely with the CFO on various financial control function Ideally, 5–8 years in the banking or finance industry, with experience in an auditing
multiple bank accounts. Weekly bank reconciliation on multiple bank accounts. Final monthly bank reconciliations reconciliations by the 5th of the month on multiple bank accounts to be submitted to the Financial Manager
multiple bank accounts. Weekly bank reconciliation on multiple bank accounts. Final monthly bank reconciliations reconciliations by the 5th of the month on multiple bank accounts to be submitted to the Financial Manager
& Creditors recons. Foreign creditors. Queries. Bank recons if required. PA / Admin duties. Female. Age:
Introduction Niche Bank Description Head of Finance & Commercial Mgt - Asset Finance Niche Bank seeks results presentations of financial results to Manco, Business Banking and Group. Represent the business on all related governance forums. Work closely with Business Banking Finance Team, and Group Finance structures. Represent
high-quality valuation and risk analysis services to banking and financial clients Review and assess market Support projects on Interest Rate Risk in the Banking Book (IRRBB) and the Fundamental Review of the 4 years' experience in a prominent South African bank or professional services firm Strong quantitative
high-quality valuation and risk analysis services to banking and financial clients Review and assess market Support projects on Interest Rate Risk in the Banking Book (IRRBB) and the Fundamental Review of the 4 years' experience in a prominent South African bank or professional services firm Strong quantitative
documents Bank/Cashbook: Update bank statements weekly Reconcile payments raised and receipts with bank statement statement Forward banking queries to client with reasonable time to response Accuracy in queries sent to
financial statements, various tax duties and auditing Bank reconciliations Invoice and statement checking Assists
lifecycles Ideal: Detailed knowledge of : Banking systems environment Banking business model Best practices for where every role is key in shaping the future of banking. General: Conditions of Employment: Clear criminal