Prepare cashbooks for bank accounts Allocate payments Prepare reconciliations for bank accounts Process reallocation
Prepare cashbooks for bank accounts Allocate payments Prepare reconciliations for bank accounts Process reallocation
payment discrepancies. Reconciliations: Reconciling bank statements with company accounts to ensure accuracy Verifying and resolving any differences between bank statements and company records. Monthly Closings
Cashbook processing for all entities including bank reconciliations Creditors & debtors experience
sales experience minimum -2 years preferably in banking or insurance. Contract : 3 months posibiity of
sales experience minimum -2 years preferably in banking or insurance. Contract : 3 months posibiity of
its dynamic team. They are leaders within the banking industry and have a global footprint. If you have
Leading Capital Markets banking environment requires a Senior Java Developer to provide specialist advice
All Health queries. Beneficiary changes Change of bank details Withdrawals Change of personal details Requesting
All Health queries. Beneficiary changes Change of bank details Withdrawals Change of personal details Requesting