discrepancies and variances. Reconcile and sign off on all bank accounts monthly. Maintain general ledger chart Group bank accounts. Ensure accuracy and validity of supplier details on the electronic banking systems beneficiary bank details, which include: Verify the VAT number of new beneficiaries Verify the bank account Managing Director on a regular basis. Liaise with the banks when required. EXTERNAL AND INTERNAL AUDIT Ensure
for the franchise for stock purchases. Check if bank guarantees wording is correct. The set-up of legal
experience within Real Estate Credit space Investment banking or Asset Management exp. BCom Hons in Finance or
experience within Real Estate Credit space Investment banking or Asset Management exp. BCom Hons in Finance or
Fulfilment Consultants Grade 12 Min 5 years in a bank environment dealing with mortgages or mortgage origination
Fulfilment Consultants Grade 12 Min 5 years in a bank environment dealing with mortgages or mortgage origination
instructions to outsourced administrator Degree in Banking, Finance, Investments or Insurance or related field
instructions to outsourced administrator Degree in Banking, Finance, Investments or Insurance or related field
according to debtors payment terns Liaising with the bank on debtor finance matters Liaising with sales reps
the Sales Executives Submit applications to the banks Effectively manages the processing of finance applications