Search Results: 9 vacancies
...ownership.
Administer paid-up policies.
Handle communication with bank and/or insurer regarding cession cancellations and paid-up requests.
Execute retirement claims, retirement investments and deferred pensions.
iSupport Financial Planning and Investments...
...implications of exchange control and tax, relative to pensions, investments and other South African source assets, economic trends,... ...Certificate/ Diploma or Degree.
Financial Services/ Retail/ Banking / Sales/ Insurance/ Customer Service or Call Centre experience...
...payable and receivable transactions, ensuring accuracy and timeliness.
Perform regular reconciliations of financial accounts, including bank accounts, to ensure accuracy and identify discrepancies.
Prepare necessary documentation and assist with financial audits conducted...
...Facilitate daily payments to service providers.
Obtain valid B-BBEE certificates from suppliers.
Accounting:
Download and organize bank statements from online banking platforms.
Record all bank transactions and perform reconciliations.
Manage petty cash...
...processes.
Role requirements
Tertiary qualification in Tax, i.e., Certificate/ Diploma or Degree.
Tax/ Financial Services/ Banking / Customer Service or Call Centre experience.
Exposure to and/or theoretical knowledge of FICA legislation.
Minimum...
...administration tasks and providing support to the Finance Lead. Key Responsibilities 1 Debtors
~ Match all client fees received per bank statements, to the CRM system.
~ Invoice and receipt client fees on accounting system and ensure it accurately syncs with CRM...
R 38,000 per month
...combination of the following:
• Tertiary qualification in Tax, i.e., Certificate/ Diploma or Degree.
• Tax/ Financial Services/ Banking/ Customer Service or Call Centre experience.
• Exposure to and/or theoretical knowledge of FICA legislation.
• Minimum...
...query resolution
Compiling monthly consolidated sales report
Compiling monthly debtors and creditors age analysis
Capturing bank statements and reviewing monthly cashbook reconciliations
Processing weekly and monthly payment requests
Compiling and...
...Asset Register, including additions and monthly recording of depreciation.
Perform full month-end close process, including journals, bank reconciliations and interdepartmental transactions.
Process prepayments and accruals and ensure month-end schedules are accurate...