and relate with clients and different advisers of all levels Responsibilities: Understand products and statements and tax information as required. Validate all types of instructions processed in the platform system oversee for accuracy. Monitor all active cases daily and confirm and communicate all processed instructions
and relate with clients and different advisers of all levels Responsibilities: Understand products and statements and tax information as required. Validate all types of instructions processed in the platform system oversee for accuracy. Monitor all active cases daily and confirm and communicate all processed instructions
negotiate tactfully and effectively with customers at all levels Good organizational and critical thinking
prepares and reports periodic financial information for all relevant entities included in the overall Fund s regular and appropriate feedback and communication to all relevant stakeholders
Treasury
prepares and reports periodic financial information for all relevant entities included in the overall Fund s regular and appropriate feedback and communication to all relevant stakeholders
Treasury
Daily/Weekly QI reviews if required • Co-ordinate all process improvement initiatives • Absence and timekeeping Daily/Weekly QI reviews if required • Co-ordinate all process improvement initiatives • Absence and timekeeping
Daily/Weekly QI reviews if required • Co-ordinate all process improvement initiatives • Absence and timekeeping Daily/Weekly QI reviews if required • Co-ordinate all process improvement initiatives • Absence and timekeeping
Disclaimer: Equal opportunity: All backgrounds are welcomed, with no bias. All are considered based on requirements
Resolve payment issues with assigned vendors Supervise all inventory control management processes Change of to Ensure monthly that creditors has AP invoiced all supplier invoice, monthly report of open item to
interpretations, collaborating with specialists to cover all angles. Be proactive in tax risk management and participate