Job Description
Job Responsibilities 1
Conduct daily update of bank position report.
Perform bank reconciliations against the GL and reconciliation of any assigned clearing accounts,
Ensure completion of journal creation for bank account transactions.
Prepare bank exposure /facility utilization report in a timely manner.
Handle confidential documents and other sensitive data on a daily basis, including screening data, financial records, banking and compliance information and Know Your Client sensitive materials.
Review all payments, transfers orders, cheques to ensure compliance on standard and processes.
Prepare other various journal entries into the system.
Ensure all screening record keeping is up to date and securely stored in accordance with data protection laws.
Keep track of account schedules such as Prepayments, Loans and amortization.
Pro-actively liaise with bank representative in all banking matters and provides guidance on solutions.
Ensure all areas of work are documented and are in line with organizational due diligence processes.
Support the implementation of HSE initiatives, participate in safety awareness activities, and contribute to incident reporting and resolution in alignment with company and IMS policies
