4 6 years previous experience in a Standard Bank Home Loans / Vehicle and Asset Finance position
banking litigation related documentation
years experience in a similar role handling Bank and Cashbook reconciliations.
the preparation of processing payments into the banking system. Accounts receivable Monthly processing processing entries on the bank accounts on the accounting system e.g. payment runs, bank charges, and interest with the preparation of bank reconciliations. Upload bank statements for all bank accounts onto the Intranet
the preparation of processing payments into the banking system. Accounts receivable Monthly processing processing entries on the bank accounts on the accounting system e.g. payment runs, bank charges, and interest with the preparation of bank reconciliations. Upload bank statements for all bank accounts onto the Intranet
amounts in the General Ledger. ● Oversee regular bank reconciliations with Oracle in order to ascertain and refer them for appropriate action ● Analyse bank statements daily in order to identify and investigate
Summonses, Section 129 notices and all other banking litigation related documentation
A well-established company within the Banking sector is seeking the expertise of a Vendor Manager years’ experience as a Vendor Manager within the Banking / Financial sector
Secretary in a Law Firm
clients Dealing with outstanding accounts Age analysis Bank statement reconciliations Ad- hoc accounting functions
experience, preferably in private equity or investment banking / credit analyst experience