dishonours and amounts debited by bank but not accounted by us ... end submissions in relation to bank reconciliation statements are carried outIdentifying ...
payable, accounts receivable, payroll, and bank reconciliationProcess monthly payroll to employees ... system with a ticketing system, bank, and payment gateway providers.Verify ...
Develop and maintain relationships with real estate agents and developers.Liaise with bank representatives to facilitate deals.Manage and report on sales pipeline.Meet monthly targets.Nurture client
enhancing the visibility of the bank in the region and fostering ... DetailsThe client is an international bank DescriptionContribute to increase visibility of ... the bank in...