new creditors. Verify banking details and add new suppliers to Sage 300 and the bank. Generate and distribute
registered, controlled, and implemented according to standard methodologies and practices. Contribute to the reporting as needed. Oversee cash flow forecasts, bank reconciliations, and treasury operations. Maintain
registered, controlled, and implemented according to standard methodologies and practices. Contribute to the reporting as needed. Oversee cash flow forecasts, bank reconciliations, and treasury operations. Maintain
of experience within Risk Modelling Exposure in Banking and Micro - Lending Capital raising exposure Duties
of experience within Risk Modelling Exposure in Banking and Micro - Lending Capital raising exposure Duties
CA(SA) or ACMA/GCMA OR MBA 2-3 years of experience Banking industry experience is essential Financial and
CA(SA) or ACMA/GCMA OR MBA 2-3 years of experience Banking industry experience is essential Financial and
forecasting Analysis Financial Control Liaise with banks, auditors and suppliers Education and experience:
forecasting Analysis Financial Control Liaise with banks, auditors and suppliers Education and experience:
responsible for the following: Daily reconciliation of bank accounts, daily action on clearing accounts, and