you are available immediately. Monthly reporting Banking Trial balance General Ledger Budgeting Prepare
Processing and allocating deposits received from bank statement as well as discount calculations Account
you are available immediately. Monthly reporting Banking Trial balance General Ledger Budgeting Prepare
operational GL reconciliations
processing is valid and correct to ensure accurate bank reconciliation by the Finance Department • Prepare
the Sales Executives Submit applications to the banks Effectively manages the processing of finance applications
the Sales Executives Submit applications to the banks Effectively manages the processing of finance applications
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
paint on an occasional basis. Daily cash up and banking Day to day administration and operations. Conduct