Job DescriptionTo provide high-touch operational and administrative support to Banking Specialist serving UHNW clients. The Banking Analyst ensures exceptional client service delivery, focusing on day-to-day banking needs while supporting the broader wealth management relationship. Client Service
Job Description Responsible for the full finance function. Responsible over the finance administration and receptionist. IT is outsourced and will report with a dotted line to Finance Manager. Responsible for contracts outside the scope of regular supply
Job Description Responsible for the full finance function. Responsible over the finance administration and receptionist. IT is outsourced and will report with a dotted line to Finance Manager. Responsible for contracts outside the scope of regular supply
Job title: Treasury Manager - Mount Edgecombe - Durban Job Description The South African Sugar Association (SASA) has a permanent vacancy for a Treasury Manager , based at Mount Edgecombe , KwaZulu-Natal. The Finance and Administration division forms
Field Sales Executive - Freshers/Experienced I PAN INDIA 2coms•Sahara College, DL, in Job Description Title: Field Sales Executive Location: Warje, Daund, Shrigonda, Wagholi, Nhavara, Bhor, Sus, Solapur, Baramati, Bhosari, Talwade, Pimpri Chinchwad, Sahara College Job Type:
Field Sales Executive - Freshers/Experienced I PAN INDIA 2coms•Sahara College, DL, in Job Description Title: Field Sales Executive Location: Warje, Daund, Shrigonda, Wagholi, Nhavara, Bhor, Sus, Solapur, Baramati, Bhosari, Talwade, Pimpri Chinchwad, Sahara College Job Type:
Claims Fulfilment Consultant A successful and large Homeloan and Insurance company requires the services of a Claims Fulfilment Consultant to join their team. The goal is to consistently exceed and practice customer expectations as governed by
To take demand from Prestige customers for any banking matters ranging from product questions to customer account activities (e.g., account status, statements, debit order information, etc.), as well as personal account opening whilst forming an accurate
The Accountant operates as the clients trusted professional - co-ordinating internally with the AFS, Tax, CIPC and Billing departments to ensure that every statutory and compliance obligation is met without the client needing to manage multiple
Daily Processing Prepare multiple cashbooks using Sage Bank Manager Perform daily bank reconciliations Allocate debtor receipts & creditor payments Respond to ad‑hoc Accounting and HR queries Weekly Processing Reconcile manual MS Excel attendance registers to Sage ESS leave applications
Trending Responsibilities Being a part of the Hollywoodbets Purple Team is an opportunity to become a part of one of South Africa’s biggest success stories. From humble beginnings in Durban, Hollywoodbets has grown into a powerhouse
The Accountant operates as the clients trusted professional - co-ordinating internally with the AFS, Tax, CIPC and Billing departments to ensure that every statutory and compliance obligation is met without the client needing to manage multiple
Daily Processing: Prepare multiple cashbooks using Sage Bank Manager Perform daily bank reconciliations Allocate debtor receipts & creditor payments Respond to adâhoc Accounting and HR queries Weekly Processing Reconcile manual MS Excel attendance registers to Sage ESS leave applications
Responsibilities Being a part of the Hollywoodbets Purple Team is an opportunity to become a part of one of South Africa’s biggest success stories. From humble beginnings in Durban, Hollywoodbets has grown into a powerhouse brand
PURPOSE OF THE ROLE The Payroll Officer is responsible for the complex end of payroll operations, including payroll validation, reconciliations, controls, statutory and third-party obligations, the payroll costing interface with Finance, and time-and-attendance data governance. The
SUMMARY: The Accountant: Monthly Clients is the primary point of contact for a defined portfolio of monthly clients. This role is responsible for the accurate and timely preparation of management accounts, maintenance of client trial balances,