processes and claims management, specifically within a banking environment.
The ideal candidate will
will play a crucial role in liaising with the bank, its subsidiaries, and stakeholders to ensure efficient
implement procurement strategies aligned with the bank's objectives.
Source and manage supplier relationships
as a Procurement Manager, preferably within the banking or financial services industry.
Strong understanding
in procurement and claims management within the banking sector, we invite you to apply.
How
and Home Affairs ID verifications Conduct online bank confirmations Verify member details/information companies and conduct verification checks Perform bank verifications Assist with any ad hoc duties or projects
and Home Affairs ID verifications Conduct online bank confirmations Verify member details/information companies and conduct verification checks Perform bank verifications Assist with any ad hoc duties or projects
Conduct asset audits Track the servicing of glass banks Liaise with NGO's, communities, provincial an local of glass banks Draft and submit monthly reports Loan arrangements Report monthly on glass banks performance Conduct asset audits Track the servicing of glass banks Liaise with NGO's, communities, provincial an local of glass banks Draft and submit monthly reports Loan arrangements Report monthly on glass banks performance
Conduct asset audits Track the servicing of glass banks Liaise with NGO's, communities, provincial an local of glass banks Draft and submit monthly reports Loan arrangements Report monthly on glass banks performance Conduct asset audits Track the servicing of glass banks Liaise with NGO's, communities, provincial an local of glass banks Draft and submit monthly reports Loan arrangements Report monthly on glass banks performance
role in driving the digital transformation of our banking services.
You improvement of the Business Analysis practice in the Bank.
In addition innovative solutions that enhance our digital banking experience, particularly on initiatives of high in the banking or financial services industry, with a strong understanding of digital banking technologies style="text-align:justify">
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must be adhered to when releasing orders. Banks Ensure all banks including Pay At and Post Office are uploaded uploaded every day of the week. Bank files must always be up to date (procedures, passwords, clear notes download all the different banks) Take ownership and liaise directly with the Banks, Pay At immediately if if there are any queries with the uploads of the banks, messages, deposits not reflecting or any queries cleared, and un-identified payments queried with the banks Unidentified payments to be communicated with the
receipts.
responsibility is liaise with auditors, banks and financial institutions, bank reconciliations
Job
● Daily processing of cash book entries from the bank statements ● Ensuring correct allocations from cash general ledger ● Reconciling /- 20 cash books to bank statements by the third working day of the following