NedbankCash Settlements Controller
Apr. 2007 - Sep. 2013Sign off of Retail and Wholesale Cash Settlements Release future dated payments Correspond with clients and other branches/divisions. Balancing and reconciliation of all accounts. Insure all staff files are up to date Insure all HR/IR issues are resolved accordingly Hiring of new staff Sign off on leave Drafting and distribution of reports. Release of emergency orders. Payment of HTO Float calculation, payment and distribution Mapping role accountabilities Job evaluation Performance Management Manpower planning Balanced scorecard design and implementation Leadership capability development Individual development planning and monitoring