limited to): Cash Books & Banking Ensure daily processing of all bank transactions are processed in Prepare bank recon for bank accounts. Maintain share drive folders with monthly statements and bank recons recons. Assist with bank administration. Download of mixed payment report in line with IPP monthly deadlines 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
invoices - Creditor payments: prepare and load on the bank for authorization - Maintain the computerized accounting - Print, prepare, capture, and reconcile monthly bank statements - Overview of expenses vs budget - Vat
invoices - Creditor payments: prepare and load on the bank for authorization - Maintain the computerized accounting - Print, prepare, capture, and reconcile monthly bank statements - Overview of expenses vs budget - Vat
accounts receivable, processing invoices, reconciling bank statements, and tracking payments. This role is •Follow-up on outstanding payments. •Reconcile bank statements and credit card expenses on a daily basis
successful systems in fintech, payments, retail banking, credit, e-commerce, or logistics ● Recent experience
Foundation or Cloud Computing. Financial services or banking experience. 7 years in Infrastructure, Software
party vendors for seamless integration Adherence to call logging processes and meeting SLAs Password resets
alternatively assisting the Ops Manager Answering calls, taking messages and handling correspondence Co-ordinating
alternatively assisting the Ops Manager Answering calls, taking messages and handling correspondence Co-ordinating
and providing tailored solutions. Conduct sales calls, product demonstrations, and presentations to showcase