Client engagement. Assist the Senior Manager in training the trainees Planning and management of team's reconciliations and submission on e-filing Processing of bank statements Drafting of financial statements Review articles experience Should have a passion for training young accounting trainees Proven record of accomplishment
Content Specialist who have worked in the fintech, banking, gambling, insurance or gaming industries If you please apply 3 years experience in the fintech, banking, gambling, insurance or gaming industry Photoshop
Accountant. Process daily transactions of all business bank accounts in the accounting system with attention annual external audit Process and reconcile Netcash bank statements Bachelors in Accounting, Finance or related
position will be to capturing financial data from bank statements up to Trial Balance level, including
below. Process daily transactions of all business bank accounts in the accounting system with meticulous queries promptly. Process and reconcile Netcash bank statements. Prepare weekly payment batches. Update
suspense (unallocated) account Authorisation of banking detail amendments for policy holders / payers Collate financial services environment Qualifications/Training Matric with Mathematics or Accounting Relevant
suspense (unallocated) account Authorisation of banking detail amendments for policy holders / payers Collate financial services environment Qualifications/Training Matric with Mathematics or Accounting Relevant
current account as well as investment account at bank. Collection of levy fees and overdue levies in collaboration of all funds received in the governing body's own bank account. Provision of clearance certificates. Maintaining Payment of contractors from the governing body's own bank account after inspection of the work has taken place
Key administrative responsibilities include: Daily bank reconciliations; Reconciliation of accounts across
accounting and processing up to trail balance. Monthly bank reconciliations. Monthly journal entries. VAT reconciliations