Foreign Exchange payment processing Ensure settlement account(s) are reconciled daily and exception items
Foreign Exchange payment processing Ensure settlement account(s) are reconciled daily and exception items
(Inter-companies) Attending to settlement discount and other journals Opening new accounts and maintaining current
(Inter-companies) Attending to settlement discount and other journals Opening of new accounts and maintaining current
all Debtors payments Pass all settlement discount on Debtors accounts Process all Speedpoint /e-wall
merchant settlement system · Matric · Matric/Grade 12 · Bachelor's Degree in Finance/ Accounting · Proficiency