Analyst: Banking: 1 Year FTC This invitation is for an amazing candidate to join the banking client and for the CIB business unit contributing toward the bank and the group requirements to SARB-PA as well as recommendations. Ensure understanding and compliance to banking regulations as well as internal policies. Manage services and solutions are aligned. Identify training courses and career progression for self through Minimum Experience Level: 2 – 4 years' experience in Banking/Financial services environment Technical / Professional
Analyst: Banking: 1 Year FTC This invitation is for an amazing candidate to join the banking client and for the CIB business unit contributing toward the bank and the group requirements to SARB-PA as well as recommendations. Ensure understanding and compliance to banking regulations as well as internal policies. Manage services and solutions are aligned. Identify training courses and career progression for self through Minimum Experience Level: 2 – 4 years' experience in Banking/Financial services environment Technical / Professional
reports.
knowledge advantageous but not necessary ● Tertiary training in Finance or comprehensive creditors / debtors department. ● Update and reconcile cashbook to the bank statements daily The post Junior Credit Controller
experience. KEY RESPONSIBILITIES Capture and import of bank statements and customer & supplier invoices close corporations, and trusts) Manage, help and train accounting clerks, have knowledge of the following experience. KEY RESPONSIBILITIES Capture and import of bank statements and customer & supplier invoices close corporations, and trusts) Manage, help and train accounting clerks, have knowledge of the following
role in providing legal counsel and support to the Bank and its subsidiaries. This includes handling diverse documents for credit facility drawdown, ensuring the Bank's interests are safeguarded.
RESPONSIBILITIES
Capture and import of bank statements and customer & supplier invoices
corporations, and trusts)
Manage, help and train accounting clerks, have knowledge of the following
allocations on the shared bank accounts and Insurer bank accounts Manage Ops bank account reconciliations Pastel Manage all unallocated transactions on all bank accounts Manage disputed items process (including distribute bank account confirmation letters Regularly and consistent follow-up with the Bank and Insurers
allocations on the shared bank accounts and Insurer bank accounts Manage Ops bank account reconciliations Pastel Manage all unallocated transactions on all bank accounts Manage disputed items process (including distribute bank account confirmation letters Regularly and consistent follow-up with the Bank and Insurers