Purpose of the role
Provide complete administrative support to enable the Fiduciary specialists to implement and administer
estate planning solutions and services for high-net-worth clients, including trust administration
Responsibilities | Skill
cash books for both Rand and CFC accounts, performing monthly bank account reconciliations -Managing
cash books for both Rand and CFC accounts, performing monthly bank account reconciliations -Managing
requirements:
all money receipted into the Bank account daily To email daily bank statement transactions to the relevant
Qualification:
Recoveries monthly and quarterly management accounts Daily bank balance reporting Payroll management Ensure
recording accounts payable data.
financial records, managing accounts payable and receivable, reconciling bank statements, and producing accounting software Process accounts payable and receivable transactions Reconcile bank statements and ensure
closings.