the system) Knowledge of bank product to assist training facilitator & staff Bank engagements/building
the system) Knowledge of bank product to assist training facilitator & staff Bank engagements/building
We are looking for engertic, enthusiastic individual to oversee our branch in Western Cape- Parrow. The position will report to Regional Manager. Staff Management Banking Stock ordering Customer Service( complaints) Payout Report/Admin Management Slot Balancing Displays internet Stations Promotions
Accounts Clerk required for a well-established Transport and Logistics Company. Must be a self-motivated individual who operates well under pressure and is willing to get things done. Full function of debtors Full function of creditors Payroll for weekly and monthly paid staff Inter-company debit jo
Accounts Clerk required for a well-established Transport and Logistics Company. Must be a self-motivated individual who operates well under pressure and is willing to get things done. Full function of debtors Full function of creditors Payroll for weekly and monthly paid staff Inter-company debit jo
Release payments on electronic banking Address client queries, staff queries and other internal group Administrators on bank profiles, responsible for adding, removing or editing staff's access and rights Release payments on electronic banking Address client queries, staff queries and other internal group Administrators on bank profiles, responsible for adding, removing or editing staff's access and rights Release payments on electronic banking Address client queries, staff queries and other internal group
Cash book entries after review of bank reconciliation done by staff. Debtors, Creditors, and General Ledger
reports for clients Bank reconciliations & cash allocations Processing of staff expenses Respond to
Reference: NFR003446-BM-1 Our client is currently seeking a Accountant to join their finance team on a permanent basis near Waltloo (Pretoria). Duties: Make sure all journal entries have been approved and processed each month. Ensuring all balance sheet accounts and cash books have been reconciled m
Releasing payments on electronic banking; Addressing client queries, staff queries and other internal group Administrators on bank profiles, responsible for adding, removing or editing staff's access and rights;