Position: Group Internal Audit Portfolio Manager - Credit Contract Details: 12-Month Hybrid Working Contract Portfolio Manager for Credit, you will play a critical role in ensuring effective risk management and control Preferred Certifications: CIA, CFE, ACAMS (optional). Management Experience: 6-8 years in a leadership role. Audit
to afford them. How you'll role As the Credit Manager, you will play a pivotal role in ensuring the smooth responsible for overseeing various crucial processes, managing a team, and driving continuous improvement across working in a growth company. What you'll do Process management: implement and oversee key operational processes training, guidance, and performance feedback Data management: ensure accurate and consistent data entry and and recommend process improvements Project management: manage and implement operational improvement projects
articles 2 Years post-articles experience Must be fast and detailed Advanced Excel Skills R35 000 - R37
position is to provide an infrastructural financial management oversight, budgeting, expenditure, monitoring ACTIVITIES Provide strategic infrastructural financial management leadership, budgeting, expenditure, monitoring Develop and manage an accurate monthly general ledger reconciliation. Develops and manage a risk register Stakeholder and relationship management. Oversee the functions of the project finance manager and other officers 5-10 years' senior management experience in infrastructure planning and management, or funding within
position is to provide an infrastructural financial management oversight, budgeting, expenditure, monitoring ACTIVITIES Provide strategic infrastructural financial management leadership, budgeting, expenditure, monitoring Develop and manage an accurate monthly general ledger reconciliation. Develops and manage a risk register Stakeholder and relationship management. Oversee the functions of the project finance manager and other officers 5-10 years' senior management experience in infrastructure planning and management, or funding within
& management of relevant policies. Senior Specialist Policy: Compliance and Risk Management We are Risk Management. (6 months Fixed-Term Contract) Job profile: The purpose of the risk management policy policy is to guide the management of risk to support the achievement of corporate objectives, protect staff Compliance and Risk Management (40%) Develop and implement the risk management policy, strategy, and and Business continuity management policy in line with the organisation's overall strategy and relevant
In need of a Senior Accountant to skilfully manage local, group and cross-border Finances. The Senior providers and wallet holders); Management of the Ecommerce function; Management of the effective Procurement Procurement function; Management of the Accounts Receivable function from accurate revenue recognition to Collections Collections and management of Bad Debt; Management of Accounts Payable including Creditors, Winners and Wallet withdrawals; Management of Cashbooks processing and effective Cash flow Management; Whole spectrum
role of the Risk Officer is to assist the Risk Manager (RM) in executing the risk program and providing Engage in the implementation of the bank's risk management function. Engage in the implementation and maintenance business area's management with reports on the findings Investigate and log (on risk management tool – Isometrix) Supporting the Risk Manager in risk scenarios preparation Supporting the Risk Manager in monthly risk reporting individual responsibility. Supporting BCB's risk management capabilities to ensure that they are sufficiently
role of the Risk Officer is to assist the Risk Manager (RM) in executing the risk program and providing Engage in the implementation of the bank's risk management function. Engage in the implementation and maintenance business area's management with reports on the findings Investigate and log (on risk management tool – Isometrix) Supporting the Risk Manager in risk scenarios preparation Supporting the Risk Manager in monthly risk reporting individual responsibility. Supporting BCB's risk management capabilities to ensure that they are sufficiently
Stock & Reconciliation Financial Manager to reconcile and manage financial risk relating to virtual
follows:
Exception management and resolution for daily reconciliations
Managing the accounting for
reconciliations
o Reconciling commissions
o Management of customer and supplier relations
Review
t verbal and written skills
Flexibility