Allocation: Record and allocate deposits received from bank statements, including calculating discounts where
Allocation: Record and allocate deposits received from bank statements, including calculating discounts where
Excel functions Skill in performing and reconciling bank transactions Understanding of tax legislation, including
reviewing group cash flow, and managing group banking Annual tasks involve preparing the group annual
with all requirements, submissions, awareness and training requirements. The individual will be dealing hands implemented accordingly. Roll out regular compliance training programmes. Identify and address potential compliance
This is a JSE listed group they offer extensive training. You will gain diverse experience. The group is
content as part of solutions which may include training content - Serve as technical lead on projects
content as part of solutions which may include training content - Serve as technical lead on projects
reviewing customer and supplier contracts Dealing with banks in terms of standard terms and conditions, contracts
Logistics Preparing User Manuals and conducting training to business process owners Experience in Agile