Internal Auditing Dealing with difficult clients Banking & Financial Services Environment Managing a Internal Auditing (preferably within Banking) Must come from Banking or Financial Services environment 2
team . Job Description: Prepare reconciliations of Bank statement, Account payable and Account receivable with internal and external auditors, Liaison with banks, customers & vendors for LC related issues.
Responsibilities include managing debtors, creditors, bank and general journals up to trial balance, as well
Management Prepare payments for pay out Reconcile bank statements Manage orders placed Staff loans, purchases
in preparing for annual external audits Perform banking functions Client Admin Support: Process client
each of the key processes. •Loading on supplier banking details. •Manage the accuracy of the business unit's
underlying companies
- Credit card top ups and banking transfers
Dashboards & Reporting
underlying companies - Credit card top ups and banking transfers Dashboards & Reporting - Maintaining
underlying companies - Credit card top ups and banking transfers Dashboards & Reporting - Maintaining
assignments in accordance with required quality control standard; office policies and management guidelines, and