Customer Training Support Consultant (POS 24063)
Somerset West
R 20 000 month
Requirements:
Reconciliation Bank Statement Reconciliation Petty cash allocation and reconciliation Manage Daily Banking Issuing performance and key performance indicators All necessary training to be provided
Responsibilities: Team Supervision: Provide guidance, training, and performance management to ensure your team transparency and accountability. Banking Allocations: Manage banking allocations with precision and accuracy
Description:
Daily bank journals for operating bank
Liaison between bank and operations for ATM
will take charge of global cash management and banking operations. Our client offers flexibility and exciting flow by minimising net interest costs, maintaining bank mandates, managing the company's cash management taking responsibility for the group's operational banking arrangements, standardise treasury related processes processes including intra-group loans, and operational banking facilities, ensuring regular reporting on all treasury
will take charge of global cash management and banking operations. Our client offers flexibility and exciting flow by minimising net interest costs, maintaining bank mandates, managing the company's cash management taking responsibility for the group's operational banking arrangements, standardise treasury related processes processes including intra-group loans, and operational banking facilities, ensuring regular reporting on all treasury
credit note capturing Debt collections Bank capturing and bank reconciliation Customer invoicing Capturing
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· Maintenance of banking and bank reconciliation
· Online banking payments, transfers and
Job Description: Daily bank journals for operating bank Liaison between bank and operations for ATM and
Job Description: Daily bank journals for operating bank Liaison between bank and operations for ATM and