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Description: Payment and Billing data entry into Excel before Oracle Entry Entry of Ground Lease and Tenant Abstracts
Description: Payment and Billing data entry into Excel before Oracle Entry Entry of Ground Lease and Tenant Abstracts
managing accounting software, making journal entries, and assisting with finance-related activities and practices
book and Bank reconciliation Conduct cash book entry to reconcile with the income Do payments on weekly journals on Everest Conduct EFT for payments Do second level Bank authorisation Confirmation of budget allocation Funds or equivalent would be an advantage Relevant levels of regulatory examinations. A minimum of 5 years'
-4 years
stakeholders are done so in accordance with service level agreements Strict monitoring and actioning of all Specialist and Trade Finance Operations and Global Markets trading desk Preparation of Manual Reconciliation contract 3-4 years B Comm or equivalent tertiary level education Trade Services knowledge, including Back knowledge of the mechanics of reconciliations High level ability to work with Excel including Pivot tables Information dashboards Previous experience in a Global Markets Reconciliations area recommended Building and maintaining
payable, accounts receivable and general ledger entries Transaction Processing: Process sales, expenses
Africa business area. You will support in analysing market trends, co-ordinating with country Heads to facilitate with organizational goals and market dynamics. Conduct comprehensive market research and competitor analysis Refine and monitor financial plans at a country level in conjunction with the country teams. Support in complex concepts and influence stakeholders at all levels. Demonstrated leadership abilities, with a track industry. An understanding of insurance products, market dynamics, regulatory requirements, and industry