proactive member communication and contact to enhance service, access to information and advice for clients and touchpoints and moments of truth to deliver exceptional service and brand values. • Identify the gaps or shortfalls Collect, track and analyse member feedback, track service levels and performance data and liaise with internal seamless experience with the websites, self-service apps, consultants and call centre • Identify emerging member moments of truth • Identify and deliver on member’s service channel preferences to ensure that members receive
international experience in finance? Accounting services firm is in search of a qualified and motivated end-to-end accounting function for various clients. Bank reconciliations. Other balance sheet reconciliations
The Accountant will be responsible for reconciling bank accounts, preparing and sending out client statements/age
IRP5’s. Prepare electronic transfer of salaries to bank accounts. Compile the vendor / check list. Minimum
including account reconciliations, bank payments, and capturing bank statements. Full-function debtors
before AFS
to the general ledger. Reconcile and balance all bank accounts daily. Manage accounts payable and accounts accounts receivable. Prepare payments on all bank accounts. Assist with monthly journals and month-end entries
ensuring the provision of professional support services to the surviving dependents/beneficiaries (for of the section •Contribute ideas for improved service delivery at Management meetings. •Compile comprehensive Benefits Committee. •Monitor that outstanding banking details for payment of approved death benefits minimal errors. Oversee the provision of social services to guardian cases; implementation of Benefits
Receptionist to be part of an upmarket legal consulting team. REQUIREMENTS: Min a year Reception / Administration
support a team that offers outsourced bookkeeping services. The ideal candidate will manage financial records payable/receivable, invoices, and payments. Reconcile bank statements and key General Ledger accounts. Process