minimum of three years’ experience as a Facilitator/Lecturer for the modules A+, Security, Networking, Powershell
•
/>Cash Books & Banking
· Ensure daily processing of all bank transactions are processed
according to month end deadline.
· Prepare bank recon for bank accounts.
· Maintain share drive folders
folders with monthly statements and bank recons.
· Assist with bank administration.
· Download
online banking platforms across all entities.
· Loading of beneficiaries onto the online banking platforms
necessary application forms or notifications to the bank for any changes including additional cards, cancellation
records
/>Reconciliations
Investing
Disinvesting
Banking
Sars submissions
Working papers
EMP201
CA(SA) or CFA is preferred Asset management or banking experience in credit analysis Deal implementation
runs on the system
role will expose you to a broad spectrum from banking, disinvestments, and planning to annual financial in Cape Town as an extension of the JHB office. Banking Disinvestments Investments Prepare annual financial
you will be equipped with the reconciliations, banking, and preparation of annual financial statements audits Reconciliations Investing Disinvesting Banking Sars submissions Working papers EMP201 & EMP501
depreciation runs on the system Bank reconciliations: salaries and suppliers' bank accounts, identify where
you will be equipped with the reconciliations, banking, and preparation of annual financial statements audits Reconciliations Investing Disinvesting Banking Sars submissions Working papers EMP201 & EMP501