Additionally, there will be the responsibility for the bank reconciliation process which will include accurate accurate allocation of cash on the company's bank accounts. Accounts Payable Reconcile Invoices, requisitions approval) Perform monthly Bad Debt provision calculation Bank Reconciliations (Cashbooks) Processing transactions cashbooks daily Maintain & reconcile cashbooks to bank statements daily Unallocated cash is investigated dealt with in a timely manner Post interest on the bank accounts to respective Cost Centres Other Duties
Experience 2-4 years experience in short term insurance pricing - essential
related matters Management of retirement funds and insured benefits, medical aid scheme strategy and policy
FAIS Act (especially Cat III) and the Long- Term Insurance Act as it relates to the underwritten investments
FAIS Act (especially Cat III) and the Long- Term Insurance Act as it relates to the underwritten investments
experience Understanding of the financial services and insurance industry essential. Understanding of the Regulatory
experience Understanding of the financial services and insurance industry essential. Understanding of the Regulatory
Experience working in or with short- or long-term insurance companies is beneficial. Develop an effective
Experience working in or with short- or long-term insurance companies is beneficial. Detailed and technical
Experience working in or with short- or long-term insurance companies is beneficial. Detailed and technical