IRP5’s. Prepare electronic transfer of salaries to bank accounts. Compile the vendor / check list. Minimum
Co-ordinating with third-party partners such as banks for client vetting and onboarding. AML/CFT lead in the payments solutions/financial technology/banking/financial solutions industry, managing SLA's and
ideal candidate will prepare financial reports and bank reconciliations, and conduct audits. They will create
ideal candidate will prepare financial reports and bank reconciliations, and conduct audits. They will create
methods of tax savings, liaising with auditors, banks and financial institutions, and liaising with attorneys
expenses, and other financial activities. Reconcile bank statements, accounts receivable, accounts payable
expenses, and other financial activities. Reconcile bank statements, accounts receivable, accounts payable
payable and accounts receivable tasks. Reconcile bank statements and other financial records. Assist with
payable and accounts receivable tasks. Reconcile bank statements and other financial records. Assist with
positions. For more information contact: Marzaan van der Bank