timely manner.
R monthly, quarterly, and annual reconciliations of bank accounts.
businesses and particular expertise in: 1. Insurance 2. Banking 3. Wealth and Investments 4. Retail 5. Telecommunication background in FinTech, Channel Financing, and Banking is highly sought. Candidates with experience in
businesses and particular expertise in: 1. Insurance 2. Banking 3. Wealth and Investments 4. Retail 5. Telecommunication background in FinTech, Channel Financing, and Banking is highly sought. Candidates with experience in
Consultant Cape Town
Training Date:
accounts payable and receivable Process and reconcile bank transactions Prepare and analyze financial reports
invoices and payments. Reconciliation: Perform regular bank and account reconciliations to ensure accuracy and
operations of the company. Responsibilities: Conduct bank reconciliations, generate VAT reports, administer
all tasks required to gain exposure to the SAICA Training Program and competency documentation. Plan, execute negotiable Family Leave (Maternity, Paternity) Training and Development Paid Time Off (PTO) (if applicable)
functional and technical requirements. Training and Support: Provide training and support to end-users, ensuring