and rebates
Monthly reconciliations i.e. Banking, cashbook and credit cards
Skills
and/or Accounting
Experience in auditing, banking and/or sales and marketing (networking)
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
candidates who have previous financial services/banking experience. Strategic Leadership Own and build engage to source new partners, merchants, networks, banks, or other online lending platforms through which sales, of which at least 3 years in the lending or banking industries. Strong conceptual skills with the distinct
candidates who have previous financial services/banking experience. Strategic Leadership Own and build engage to source new partners, merchants, networks, banks, or other online lending platforms through which sales, of which at least 3 years in the lending or banking industries. Strong conceptual skills with the distinct
outsourced Holding companies will need to be prepared – Bank recons and journals, maintaining schedules quarterly with maintaining baking relationships Managing banking queries Managing debt obligations such as testing on working capital Managing and rationalising banking accounts and payment processes - All SARS compliance
Reference: JHB000736-LG-2 An industry leading Bank has an exciting opportunity available for a Solutions qualification in Information Technology Grade 12 National Certificate / Vocational Ideal: A relevant post solutions environment Ideal: Solid understanding of: Banking business model Business process modelling Business
Reference: JHB000736-LG-2 An industry leading Bank has an exciting opportunity available for a Solutions qualification in Information Technology Grade 12 National Certificate / Vocational Ideal: A relevant post solutions environment Ideal: Solid understanding of: Banking business model Business process modelling Business
information required for processing Completing the bank reconciliation Petty cash management Participate
and reconciled monthly
Provide support for banking and month-end payment
Ensuring compliance