Reference: CPT007047-ST-1 ADMINISTRATION SUPPORT FOR NEDBANK VEHICLE AND ASSET FINANCE NORTHERN SUBURBS, CAPE invoice processes (capturing invoices) Work on NEDBANK systems which is called Vertigo AJS knowledge would
Reference: CPT007047-ST-1 ADMINISTRATION SUPPORT FOR NEDBANK VEHICLE AND ASSET FINANCE NORTHERN SUBURBS, CAPE invoice processes (capturing invoices) Work on NEDBANK systems which is called Vertigo AJS knowledge would
EFT requisition as paid once payment released on Nedbank Prepare monthly Accrual List of all creditors Follow payments and supporting documentation onto the Nedbank online payment system Process all monthly cashbooks
EFT requisition as paid once payment released on Nedbank Prepare monthly Accrual List of all creditors Follow payments and supporting documentation onto the Nedbank online payment system Process all monthly cashbooks
EFT requisition as paid once payment released on Nedbank Prepare monthly Accrual List of all creditors Follow payments and supporting documentation onto the Nedbank online payment system Process all monthly cashbooks
achievement of transformation goals by participating in Nedbank Culture building initiatives (e.g. staff surveys effective ways to operate and adding value to Nedbank. Contribute to the development of differentiated; business strategy; objectives and values by reviewing Nedbank and Business Unit Plan and ensuring delivered systems;
function:
Daily cash book processing x 3 (Nedbank / Absa / Std bank)
Debtors (2 x debtor
for the payment done outside the system (FNB) Cash book and Bank reconciliation Conduct cash book entry request form Effect the payments on the FNB platform Monthly Bank reconciliations Do credit card and petty
Requisitions for all Cashbook Payments using the FNB Online Banking system. Requirements: Computer literate in
Process Weekly and Monthly payments on Nedbank Business Banking
Ensure that all customer