Statements Collection of outstanding debt Compile Bank reconciliations Assist with improving and drafting
Payroll management. Ensure accuracy by reconciling bank statements and general ledger accounts. Collaborate
Our client in the banking sector is seeking a detail-oriented individual to join their team as a Corporate
scheduled operators Receipts Review the company bank statements to ensure customer portfolio is up to
separating charge slips, balancing cash, and completing banking. Maintain knowledge of current sales and promotions
separating charge slips, balancing cash, and completing banking. Maintain knowledge of current sales and promotions
accounts
Capture fees and disbursement
Reconciling bank accounts
Preparing request and related paperwork
Transactions Close monitoring of daily cash flow and bank balances Cash flow projections Maintaining &
ruse1 Experience preferred Financial Services Banking Industry (Absa experience preferable) Risk experience
Statements