detail-oriented, and have a deep understanding of banking operations and compliance standards, this could Oversee the day-to-day operations of cutting-edge banking and mobile platforms, ensuring seamless functionality excellence. This company excels in delivering top-notch banking and mobile platform solutions, and boasts a collaborative management experience within the fintech or mobile banking sector, with a preference for acquiring skills
KZN000002-EA-1 Degree in either Business Management/ Banking / Sales. Self-starters with a minimum of 1 year adjustment. Degree in either Business Management/ Banking / Sales. Self-starters with a minimum of 1 year
KZN000002-EA-1 Degree in either Business Management/ Banking / Sales. Self-starters with a minimum of 1 year adjustment. Degree in either Business Management/ Banking / Sales. Self-starters with a minimum of 1 year
will be, but not limited to: Cash book processing Bank reconciliation Journals Bond accounts Loan accounts documentation Compilation of management accounts Bank reconciliations Salary processing/importing/mapping
agreed budgets. Banking and reconciliation Manage end of day procedures and banking Administration Maintain
agreed budgets. Banking and reconciliation Manage end of day procedures and banking Administration Maintain
between bank accounts efficiently. Maintain beneficiaries on banking platforms. Collect proof of bank account monthly cash book transactions accurately. Perform bank reconciliations to ensure accuracy and identify with Sage Accounting. Experience with working on banking platforms such as Nedbank, ABSA, FNB & SBSA
aligned with policies Banking payments, extracting bank statements ensuring bank recons are accurate and
join their team. You will be responsible to manage bank reconciliations and handle creditors' and debtors' relevant experience in a similar role. DUTIES: Perform bank reconciliations. Handle creditors' reconciliations with working with stock. Strong understanding of bank reconciliations and general accounting procedures
reconciliations, for review, and cashbook via Standard Bank Business Online platform - Accurately apportioning contracts, payment and related correspondences - Perform bank reconciliation on a weekly and monthly basis - Preparation Remittances Perform daily ADHOC requirements i.e. bank processing, fixed assets & insurance administration