to generation of settlement letters, processing of settlements and early settlements, processing of releases timeously
Issuing of settlement letters
Ensure that all settlement letters logged by customers addressed
Early Settlements
Responsible for assisting related issues are addressed to ensure accurate settlements take place as directed by the supervisor
Responsible taken to perform early settlements as directed by the supervisor
Settlement of deals at maturity
to generation of settlement letters, processing of settlements and early settlements, processing of releases correctly and timeously Issuing of settlement letters Ensure that all settlement letters logged by customers ensuring all related risks are addressed Early Settlements Responsible for assisting in implementing processes related issues are addressed to ensure accurate settlements take place as directed by the supervisor Responsible time taken to perform early settlements as directed by the supervisor Settlement of deals at maturity on
ric
queries
for new business initiatives. Ensure that our Settlement process is understood, and client is trained on the below: Technical issues CIT escalations Settlement/Recon Queries Contact Centre Support Contact for new business initiatives. Ensure that our Settlement process is understood, and client is trained on the below: Technical issues CIT escalations Settlement/Recon Queries Contact Centre Support Contact
for new business initiatives. Ensure that our Settlement process is understood, and client is trained on the below: Technical issues CIT escalations Settlement/Recon Queries Contact Centre Support Contact for new business initiatives. Ensure that our Settlement process is understood, and client is trained on the below: Technical issues CIT escalations Settlement/Recon Queries Contact Centre Support Contact
minimise future risk; Make recommendations on settlement for all claims below R100,000 to the Chief Financial Management and Executive Management of possible settlements; Advise Management and Executive Management of
new business initiatives.
Ensure that our Settlement process is understood, and client is trained
/>Technical issues
CIT escalations
Settlement/Recon Queries
Contact Centre Support
daily cash positions and cash flows to ensure settlement and maximise performance. Manage cash flow and
Investigation of unsettled card transactions/ duplicate settlements with store/bank Investigation with bank/ departments