have extensive experience in corporate investment banking and capital markets, coupled with a strong background This role involves leading and managing complex banking projects, ensuring successful delivery within scope projects are delivered to the highest quality standards. Conduct regular project reviews and audits to with at least 5 years in corporate investment banking and capital markets. Proven experience managing managing large-scale, complex projects in a banking environment. Strong background in Agile, SAFe, and Scrum
have extensive experience in corporate investment banking and capital markets, coupled with a strong background This role involves leading and managing complex banking projects, ensuring successful delivery within scope projects are delivered to the highest quality standards. Conduct regular project reviews and audits to with at least 5 years in corporate investment banking and capital markets. Proven experience managing managing large-scale, complex projects in a banking environment. Strong background in Agile, SAFe, and Scrum
creditors details. Processing of bank transactions and reconciliations of bank accounts. Processing of journals budget. Perform administration duties relating to bank and cash management. VAT reconciliations, submissions cash balances. Loading payments on the electronic banking system and ensuring all payments are processed
culture of continuous improvement and high-quality standards. 2. Quality
applications and systems meet stringent quality standards and regulatory requirements.3
improve testing processes, methodologies, and standards.
EDUCATION, SKILLS AND
leadership position.
reports from Sage 300.
5) in the banking environment with Economics, Finance, Statistics, Business Economics, Banking or Accounting
5) in the banking environment with Economics, Finance, Statistics, Business Economics, Banking or Accounting
management journals integrated to the theoretical banking on SAP on a daily basis Review petty cash documents for all cash accounts Liaise with the regional banking team with request from the store to process journals queries, ensure ageing is correct and liaise with the bank when needed Provide month end commentary on shorts/overs & bank Investigation of unsettled card transactions/ duplicate settlements with store/bank Investigation Investigation with bank/ departments on allocation of Unallocated Deposits and clearing GL accounts Sales
practices Proficiency in using accounting software and banking platforms Experience with VAT regulations and compliance Key Responsibilities: Loading of payments on the banking platform Processing payables on the accounting
Preparation of accrual schedules and reconciliations Banking details, which include loading pf payments and Assisting Senior accountants with adhoc functions Bank reconciliations Basic debtors receipting and allocation