seeking a Bank Recons Clerk on a contract basis. You will be responsible for reconciling bank accounts resolving queries and communicating with stores and the bank. Matric plus solid work experience. Post matric including, inter alia, bank reconciliations, foreign currency translation and conversion, bank card queries, resolving resolving bank discrepancies etc. Experience within a team dynamic would be advantageous Compute literate Available immediately Interested and meet the above requirements then email your CV to recruitmentcorporateplacements
and Valuation Analyst: Banking: 5 months fixed term contract You will be required to maintain the Client agreed turnaround times as stipulated in the SLA Required to train new data specialists on the supported supported systems as well as provide assistance when required Identifies and manages risk within the team, uses assisting Head with other duties if the need arises Required to manage projects within the Data Management that entails Market Reference Data and Valuations Required to attend meetings/forums and interacting in these
initiated by stakeholders.
Requirements:
Valuation Analyst: Banking: 5 months fixed term contract
You will be required to maintain the turnaround times as stipulated in the SLA
Data Management and Valuations Analyst at Standard Bank, you will play a pivotal role in maintaining the the team's operations.
Requirements: Qualifications:
One of the TOP banks in S.A. is seeking an experienced candidate to join the team on a 6-month contract must have worked within business / commercial banking sector
revision and realignment as required and communicate regularly with programme staff in this regard. Maintain requests and process month end Journals Perform bank and balance sheet reconciliations and validate balances progress through monthly processes with programme staff. Assist with oversight of partner contracts and financial information to a wide range of programme staff. Ability to work remotely and effectively communicate
revision and realignment as required and communicate regularly with programme staff in this regard. Maintain requests and process month end Journals Perform bank and balance sheet reconciliations and validate balances progress through monthly processes with programme staff. Assist with oversight of partner contracts and financial information to a wide range of programme staff. Ability to work remotely and effectively communicate
and effective manner with strict adherence to the Banks policies and procedures. Sales Administration Creation non-FICA compliant customers and sureties on the banks system Updating of existing CIF information on the transactions Creation of all finance facilities on core banking system for new, increase, decrease and modification information on the Banks document management system Creation of drawn done core banking system for finance submission Prepare manual approval documents when required Pay out and Post pay outs Customer Maintenance
and effective manner with strict adherence to the Banks policies and procedures. Sales Administration Creation non-FICA compliant customers and sureties on the banks system Updating of existing CIF information on the transactions Creation of all finance facilities on core banking system for new, increase, decrease and modification information on the Banks document management system Creation of drawn done core banking system for finance submission Prepare manual approval documents when required Pay out and Post pay outs Customer Maintenance