for managing big name clients in the retail and banking sectors amongst others.
Main Responsibilities
Managing relationships between the client and the bank/insurance provider Ensuring statutory requirements
of materials, procedures, standards and controls. Bank Recons Petty Cash Recons Cash Ups Weekly Management
of materials, procedures, standards and controls. Bank Recons Petty Cash Recons Cash Ups Weekly Management
One of our clients in the Banking industry has a contract vacancy available for a Solutions Architect
positions. For more information contact: Marzaan van der Bank
Prepare and posting cheque vouchers Receipt EFT on bank statements Debit order postings Financial invoices
and that all supporting documentation is accurate (bank details, tax details) Ensuring that all documentation
and that all supporting documentation is accurate (bank details, tax details) Ensuring that all documentation
prospective buyer pre-qualified by a bond originator or bank to ensure that they are able to buy and what their