reconciliations • Statutory payments • Costing of products • Bank reconciliations • Journals • General Ledger accounts
include: Debtors and creditors reconciliations, bank reconciliations, budgets, costing, invoicing, ledgers Statements Collection of outstanding debt Compile Bank reconciliations Assist with Costings Assist with
processing is valid and correct to ensure accurate bank reconciliation by the Finance Department • Prepare
selling Short Term Insurance, Life products and/or Banking Products Ensure FAIS and FICA standards are adhered
selling Short Term Insurance, Life products and/or Banking Products Ensure FAIS and FICA standards are adhered
focus on Conflict-of-Interest monitoring, AML, Banks Act, POPIA/PAIA, FATCA/CRS and Conduct. • A clear Conduct (incl. FAIS, TCF), Conflicts of Interest, Banks Act, FATCA/CRS etc. • Reporting writing essential
focus on Conflict-of-Interest monitoring, AML, Banks Act, POPIA/PAIA, FATCA/CRS and Conduct. • A clear Conduct (incl. FAIS, TCF), Conflicts of Interest, Banks Act, FATCA/CRS etc. • Reporting writing essential
position will involve liaising with Eskom Quality personnel, Engineers, and Project Managers. Adherence to on all sites. Align the quality activities and personnel to further the project objectives. Ensure processes
accounting and registration; Responsible for the daily banking affairs, ensure the timely receipt and payment
profit. Strategize on fund procurement through banks and other financial institutions. Prudently make