any other transactions as required Cashbook and banking: Reconcile cashbooks for 4 entities Prepare weekly and authorised payments on the banking application Accurately load banking details of the supplier, amount to the supplier & payment reference on the banking system when required Petty cash: Issue petty cash
Africa's leading investment banks? A renowned entity within the investment Banking arena is looking for a
Africa's leading investment banks? A renowned entity within the investment Banking arena is looking for a
REPORT) Banking investigations Iveri Back-office system Data trans platform MRSS reports and Bank statement statement Bank reconciliations Data Provision: Any booking funds related reports (BKINVPA / BI itemised billing)
and authorised payments on the banking application Accurately load banking details of the supplier, amount to the supplier & payment reference on the banking system when required Accurately and timeously complete
etc Bookings modified after the departure date Bank reconciliation of Collections account Credit card Providing additional information for refund payments to banks and treasury as required Preparing confirmation control requirements: Submit required documents to banks for exchange control requirements Prepare information