to join their team. Reporting directly to the National Sales Fulfilment Manager. Approve leave and allocate SLA Management escalations Assist in absence of National Sales Fulfilment Manager Daily oversight of staff system) Knowledge of bank product to assist training facilitator & staff Bank engagements/building engagements/building rapport with bank liaison across banks Identify training needs within team and sales Matric (NQF 4) 4) 5 years' minimum experience in a Bank environment dealing with mortgages or Mortgage Origination 2
to join their team. Reporting directly to the National Sales Fulfilment Manager. Approve leave and allocate SLA Management escalations Assist in absence of National Sales Fulfilment Manager Daily oversight of staff system) Knowledge of bank product to assist training facilitator & staff Bank engagements/building engagements/building rapport with bank liaison across banks Identify training needs within team and sales Matric (NQF 4) 4) 5 years' minimum experience in a Bank environment dealing with mortgages or Mortgage Origination 2
National Company is looking for a Cash Controller to assist them within the Western Cape, Cape Town region by customers - card, cash and accounts. Daily banking and cashing up Report back to Head Office Answering
equipment.
Reference: JHB000740-LG-1 An industry leading Bank has an exciting opportunity available for a System similar technologies Qualifications Minimum Grade 12 National Certificate / Vocational A relevant tertiary qualification application thereof Understanding of: SAP S4Hana Board Banking systems Best practices for Quality Assurance (QA)
Reference: JHB000740-LG-1 An industry leading Bank has an exciting opportunity available for a System similar technologies Qualifications Minimum Grade 12 National Certificate / Vocational A relevant tertiary qualification application thereof Understanding of: SAP S4Hana Board Banking systems Best practices for Quality Assurance (QA)
estimates and accruals Monthly reconciliations: banks, customers, suppliers, loans, assets, tax Processing agreements for the Group Banking: Complete FOREX payments form on the physical and banking platforms Loading Loading of supplier details and payments on banking system Draw of proof of payments and distribution to the
estimates and accruals Monthly reconciliations: banks, customers, suppliers, loans, assets, tax Processing agreements for the Group Banking: Complete FOREX payments form on the physical and banking platforms Loading Loading of supplier details and payments on banking system Draw of proof of payments and distribution to the
estimates and accruals
statements, accounts payable and receivable, and bank statements
Requirements:<