CA(SA) who has completed TOPP Articles with a leading Bank or Financial Services Company. Strong academics
CA(SA) who has completed TOPP Articles with a leading Bank or Financial Services Company. Strong academics
Preferable Job Related Experience Required: Previous banking/financial services - 5-10 years - Essential Ad
Perform General Ledger reconciliations (including bank, suspense and inter-departmental account; Consolidate cash, creditors, debtors, filing of invoices and bank statements, maintain asset register Relevant diploma
in the relevant cash book Allocate the bank cash book daily (bank feed active) and reconcile monthly Match
in the relevant cash book Allocate the bank cash book daily (bank feed active) and reconcile monthly Match
experience Advantageous: working experience in a bank / large insurer / audit or advisory firm An understanding which financial entities operate, including FICA, Bank Act, and Financial Markets Act A flexible and adaptable
experience Advantageous: working experience in a bank / large insurer / audit or advisory firm An understanding which financial entities operate, including FICA, Bank Act, and Financial Markets Act A flexible and adaptable
Cashbook processing (Capturing transaction from bank statements and correctly allocating to General Ledger) of all supporting documents Oversee all cards and bank reconciliations Assist to facilitate the financial
Cashbook processing (Capturing transaction from bank statements and correctly allocating to General Ledger) of all supporting documents Oversee all cards and bank reconciliations Assist to facilitate the financial