Roles and Responsibilities:
schemes (including ETF’s, Retail Hedge Funds and offshore funds) performance, positioning and mandates
knowledge of Linked Products, Local Unit Trusts and Offshore Funds is essential
knowledge of Linked Products, Local Unit Trusts and Offshore Funds is essential
should have experience in trust accounting and tax, offshore entity accounting, investment accounting, and
tasks such as: 1. Contracts: Capturing and submitting purchase and sales contracts on the system Perform on transactions Check that contracts are signed Drafting manual contracts 2. Billing: Invoicing and storing transport invoices 4. Miscellaneous: Closing of contracts at the end of Feb. and Sept. 6 Months reconciliations 6. Logistics administration Generate loading contracts Update of loads on the dashboard Booking of trucks
fulfilment of this KPA Contract management (suppliers, mainly coal mines' contracting terms) Conclude trade with suppliers Contracting with 3rd party coal mines for coal, Transporters and contracting with other suppliers are clear in the contract upon which adherence will be monitored. Monitor Contract Compliance as per issues Provisions and payment requests for coal contracts and every vessel Enhance processes where required
12 Month Contract Cape Town A leading insurance company requires a finance BA to join their team on a a contract basis to assist with a project focused on finance allocation objectives, methodologies, and
/>Preparation of Accounting analyses for complex contracts and transactions
Maintain accounting policies
Group companies
Exposure to joint venture contracts highly beneficial
Strong ability in writing
Review of the business unit/s various project/contract costing to ensure cash flow and profitability Monthly reporting, commercial database management, contract synthesises, cash flow, risks & opportunities client invoicing (check the calculating of the contract price escalation/adjustment and Forex if any)