prominent and successful and digitally advanced Banks in South Africa. As the continue to disrupt industry dynamic IT team at one of South Africa's leading banks. The successful candidate will be responsible for
to trial balance, including debtors, creditors, bank, petty cash, journals, etc. Handling of VAT and to trial balance, including debtors, creditors, bank, petty cash, journals, etc. Handling of VAT and
the specific technology. Address the needs of the bank by deploying, supporting and configuring the specific and scripting Technical / Professional Knowledge Banking knowledge Business Acumen Business principles Change
the specific technology. Address the needs of the bank by deploying, supporting and configuring the specific and scripting Technical / Professional Knowledge Banking knowledge Business Acumen Business principles Change
of the CE communication strategy, understand the Banks market and clients needs and act as an advisor to profitability by utilising the full suite of offers from the Bank.
processing of financial transactions (payments, journals, bank reconciliations, receipts) and statutory returns reconciliations to check balances back to ledger and bank statement and sign off for filing • Process monthly Online, Pastel, Hyphen etc. • Conduct daily check on bank accounts to verify payments and ensure sufficient
JHB006327-MM1-1 Our client, one of the biggest banks in South Africa who is a firm believer in technical sustainable client centric management of risk across the bank. In order to be considered the following is required: wider fields, in financial services, within the bank and in risk and assurance practices Financial Management:
JHB006327-MM1-1 Our client, one of the biggest banks in South Africa who is a firm believer in technical sustainable client centric management of risk across the bank. In order to be considered the following is required: wider fields, in financial services, within the bank and in risk and assurance practices Financial Management:
Project Manager who is experienced across various banking/financial services environments. You understand
accounts. Reconciliation: Perform and review monthly bank reconciliations. Reconcile subsidiary accounts by