Reference: JHB000735-LG-2 An industry leading Bank has an exciting opportunity available for a Solutions support for certifications, access to Udemy, cloud training platforms, and dedicated time for learning. Innovative research, compliance, and delivery, driving the bank's technological direction. Flexible Work Environment: work-life balance. Rewarding Projects: Work on the bank's highest-profile Salesforce projects, making a direct of: Banking systems Agile development life cycle Knowledge of UML Solid understanding of: Bank's systems
looking for a culture fit and the right personality. Training will be provided by the company and its accounting Responsibilities: Capturing of bank statements on Xero. Reconciling bank statements. Prepare customer invoices Petty Cash - capture expenses and receipts, process bank recon on Xero, distribution of money when needed communications, insurance, vehicle licencing, training, supplier and customer contacts, regulatory compliance
direct debits/payments that have been made from the bank account into the finance system
Point of liaison
Supervisor overseeing day-to-day activities
Training of junior administrators
Raise POs, goods
Regulatory exam RE5 (Reps)
Education and training : Bachelor's degree in business administration, finance or related field Experience mobile banking sector (Acquiring skills preferable.) Ensure the smooth operation of our banking and mobile approach to problem-solving. Deep understanding of banking operations, regulatory requirements, and compliance Management: Oversee the daily operations of the banking and Mobile platforms, ensuring seamless functionality techniques to extract actionable insights from the banking and mobile platform data. Develop, refine and deploy
/>ID/Password
Police Clearance
Bank statement/Proof of Bank
SARS Certificate
Hepatitis
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
transactions and general accounting duties. Handle bank statements, supplier invoices, salary journals, verification of creditors, payments, and bank details. Perform weekly bank reconciliations, expense tracking
entries/journals. Reconciliation: Processing and reconciling bank accounts, credit cards accounts, petty cash accounts clients on unpaid bills. Reconciling bank statements: Reconciling bank statements to ensure that all transactions balances in the accounting software matches the bank statements received from the financial institutions
Legal Department of an international investment bank. The scope of financial documentation includes several out to the banks various stakeholders to discuss terms and; Corresponding with the bank's clients directly GMRA, GMSLA, ISDA/FIA CDEA and CSAs ; Strong banking and finance background Asset management experience