Position- Goodwood, Cape Town for a client within the banking industry. MUST be currently living in Cape MUST Administration position involving customer queries Bank balancing Reconciling of Accounts Matric. Must live
/>Reconciliations
Investing
Disinvesting
Banking
Sars submissions
Working papers
EMP201
ERP systems Processing bank and cash entries on a daily basis, and reconcile bank statements ensuring data to financial reportingAssist with opening company bank accounts and staff credit card applications Maintaining Maintaining and updating company information with banks Ensure statutory compliance with government agencies
systems
ERP systems Processing bank and cash entries on a daily basis, and reconcile bank statements ensuring data to financial reportingAssist with opening company bank accounts and staff credit card applications Maintaining Maintaining and updating company information with banks Ensure statutory compliance with government agencies
timely manner Payments: Ensure that Adhoc Payments' banking details are verified by the Creditors Clerk Payments: monthly payments on to the Online Banking platform to be authorized by Bank Authorisers Subsistence Recon:
timely manner Payments: Ensure that Adhoc Payments' banking details are verified by the Creditors Clerk Payments: monthly payments on to the Online Banking platform to be authorized by Bank Authorisers Subsistence Recon:
Payments: Ensure that Adhoc Payments banking details are verified by the Creditors ClerkBanking platform to be authorized by Bank Authorisers
CA(SA) or CFA is preferred Asset management or banking experience in credit analysis Deal implementation
Banking
Disinvestments
Investments
Prepare annual financial statements
Prepare