To market and sell Transactional Banking solutions to meet the needs of customers and stakeholders
teams and trading applications within the corporate bank. This individual will be responsible for leveraging effectively in a fast-paced environment. Knowledge of banking products, financial markets, and regulatory requirements
teams and trading applications within the corporate bank. This individual will be responsible for leveraging effectively in a fast-paced environment. Knowledge of banking products, financial markets, and regulatory requirements
software system skills. Debtors, Creditors & Bank recon experience. Bookkeeping up to trial balance
reconciliations • Statutory payments • Costing of products • Bank reconciliations • Journals • General Ledger accounts
include: Debtors and creditors reconciliations, bank reconciliations, budgets, costing, invoicing, ledgers Statements Collection of outstanding debt Compile Bank reconciliations Assist with Costings Assist with
processing is valid and correct to ensure accurate bank reconciliation by the Finance Department • Prepare
selling Short Term Insurance, Life products and/or Banking Products Ensure FAIS and FICA standards are adhered
selling Short Term Insurance, Life products and/or Banking Products Ensure FAIS and FICA standards are adhered