Excel advanced Capturing receipts Trust journals Payments by use of requisitions Corrections on incorrectly investment platforms: Corporate Saver, Standard Bank TPFA, ABSA AMS Opening and closing of Investments Trust bank reconciliations: FNB, Nedbank, Standard Bank, ABSA Management of advocate payments during
salaries (at times)
release salaries (at times) Coordinate and manage payment and billing details of external service providers vendors Verify payments and deposits made through the company account and coordinate with the bank Create daily
seekers and employers. Do not pay any type of payment to get the job or hire someone. We are just sharing
seekers and employers. Do not pay any type of payment to get the job or hire someone. We are just sharing Handle billing and insurance inquiries: Process payments accurately, answer questions about insurance coverage for patients while contributing to the smooth operation of the medical practice.
enjoy it) In this role, you'll be overseeing daily banking processes, ensuring accurate fund pricing, and emphasizing integrity and accountability across their operations. You'll be based in professional offices in Claremont
ponsible for accounting processes and tasks - payments,fees,general ledger account reconciliations
Responsible for accounting processes and tasks - payments,fees,general ledger account reconciliations Co-ordinate
Responsible for accounting processes and tasks - payments,fees,general ledger account reconciliations Co-ordinate
Overview: As an I&O Operations Support Engineer, you will manage day-to-day operations to ensure the delivery new technologies. Primary Responsibilities: IT Operations: Monitor all infrastructure as a member of the Support business operations with telephony, infrastructure, connectivity, and MS operations. Implement and processes, and procedures. Ensure technical operational efficiency within the business. Execute business identified priorities within the team. Conduct IT operational monitoring and reporting. Identify, minimize