statements, and ensuring compliance with accounting standards. You will work closely with clients to understand month) Captures monthly bank statements on manual bank accounts Prepare monthly bank reconciliations Enter vendors, communicates with vendors to confirm banking d Assistance with supporting calculations and disclosures
statements, and ensuring compliance with accounting standards. You will work closely with clients to understand month) Captures monthly bank statements on manual bank accounts Prepare monthly bank reconciliations Enter vendors, communicates with vendors to confirm banking d Assistance with supporting calculations and disclosures
Job Title: Transactional Banking Administration Assistant Hire Resolves client is seeking a reliable detail-oriented Transactional Banking Administration Assistant to support their banking team in Gauteng. The ideal client inquiries, and providing support to the banking team. Responsibilities: Process and record financial Support the banking team with administrative tasks as needed. Ensure compliance with banking regulations Related Degree would be an advantage 1-2 years Banking experience If you meet the qualifications and are
Hire Resolve’s client in the Banking Industry is urgently seeking the expertise of an IT Internal Auditor CRISC) – required Internal Audit experience in Banking - min 5 years is required. Knowledge of Application Excellent knowledge of IT technologies, practices and standards, security risks and controls in the areas of security
used by banks ranging from smaller local credit providers to globally systemically important banks. You
report. Releasing payments on Banking system Monitoring payments on Banking system Attending to queries
used by banks ranging from smaller local credit providers to globally systemically important banks. It also
reconciliations for debtors, creditors, VAT, payroll, and bank. Ensure completeness by supporting payroll changes discrepancies Ensure compliance with accounting standards and regulations Coordinate with internal departments
reconciliations for debtors, creditors, VAT, payroll, and bank. Ensure completeness by supporting payroll changes discrepancies Ensure compliance with accounting standards and regulations Coordinate with internal departments
data, and ensuring compliance with accounting standards and regulations. You will work closely with the Creditors control account reconciliation and processing Bank Reconciliations Monthly VAT Calculations and VAT