clients.
loaded
weekends for /- 3 days over month-end Duties include: Loading of National Deals and Promotions Assisting with Assisting with price increases / new listings Loading of National Deals and Promotions Assisting with
regulations and compliance Key Responsibilities: Loading of payments on the banking platform Processing
reconciliations Banking details, which include loading pf payments and beneficiary maintenance. Processing
with COE on GL master data maintenance Capture loading of EFT payments i.e., non-vendor related payments payments (not for the same country for which you have loaded payments) Process of non-vendor related payments
ensuring maximum interest is earned on cash balances. Loading payments on the electronic banking system and ensuring
fixed-term contract position. RESPONSIBILITIES • Load HFM and preparation of group management accounts
fixed-term contract position. RESPONSIBILITIES • Load HFM and preparation of group management accounts
and proper authorization is obtained prior to loading the new supplier on the creditors master file.
4 proof of banking details is obtained prior to loading supplier bank details.
Ensure that for repeat