The Role
:
1. Preparation and circulation of the daily Client bank reconciliations for settlement
2. Support the implementation and continuous improvement of internal controls, processes and financial systems
3. Preparation and management of monthly and quarterly balance sheet reconciliations and files
4. Preparation and circulation of the monthly Client bank reconciliations for fixed deposit accounts
Requirements
5. Business, Finance or Accounting related degree or equivalent
6. Good communication and interpersonal skills
7. Ability to take ownership of tasks from start to finishh
8. Attention to detail