month-end tasks. Internal Process Management and Query Resolution: Take charge of internal processes, troubleshoot Daily Download, Processing, and Reconciliation of Bank Accounts: Handle the daily download, meticulous meticulous processing, and precise reconciliation of all bank accounts to ensure accuracy and transparency in financial Payments on the Bank: Facilitate seamless transactions by loading payments onto the bank platform accurately
month-end tasks. Internal Process Management and Query Resolution: Take charge of internal processes, troubleshoot Daily Download, Processing, and Reconciliation of Bank Accounts: Handle the daily download, meticulous meticulous processing, and precise reconciliation of all bank accounts to ensure accuracy and transparency in financial Payments on the Bank: Facilitate seamless transactions by loading payments onto the bank platform accurately
exercise processes, including communication with brokers to ensure a seamless trading process Assist clients to enhance the product based on new clients or internal requirements Create and provide training to clients
exercise processes, including communication with brokers to ensure a seamless trading process Assist clients to enhance the product based on new clients or internal requirements Create and provide training to clients
Transactions: You will be responsible for capturing all bank statement transactions accurately. This includes includes verifying, classifying, and recording bank statement data on a daily basis. Customer Receipts Allocation: fashion. Reconciliation: Daily reconciliation of bank statements to ensure all transactions are accounted Financial Tasks: Process ad-hoc bank transactions such as interest and bank fees. Support with other finance-related Minimum 4 years in a similar role with experience in bank statement processing and data capturing. Proficiency
Transactions: You will be responsible for capturing all bank statement transactions accurately. This includes includes verifying, classifying, and recording bank statement data on a daily basis. Customer Receipts Allocation: fashion. Reconciliation: Daily reconciliation of bank statements to ensure all transactions are accounted Financial Tasks: Process ad-hoc bank transactions such as interest and bank fees. Support with other finance-related Minimum 4 years in a similar role with experience in bank statement processing and data capturing. Proficiency
know Financial institution is a leader in the banking and insurance space and operates in various countries essential 3 to 5 years Tax experience is essential International tax experience is essential. If this is the
know Financial institution is a leader in the banking and insurance space and operates in various countries essential 3 to 5 years Tax experience is essential International tax experience is essential. If this is the
Excel functions Skill in performing and reconciling bank transactions Understanding of tax legislation, including contact: Suzette Muller on 012 348 4940 Recruitment Consultant: Chartered Accountants and General Finance
Excel functions Skill in performing and reconciling bank transactions Understanding of tax legislation, including contact: Suzette Muller on 012 348 4940 Recruitment Consultant: Chartered Accountants and General Finance