will be a newly qualified Chartered Accountant (South Africa) with exceptional academic transcripts and experience
and protection of assets to improve the level of service Monthly bank reconcilliation statements Examines all keys control and issuance procedures are correctly applied and adhered to. Recommends to the area
and protection of assets to improve the level of service Monthly bank reconcilliation statements Examines all keys control and issuance procedures are correctly applied and adhered to. Recommends to the area
and protection of assets to improve the level of service Monthly bank reconcilliation statements Examines all keys control and issuance procedures are correctly applied and adhered to. Recommends to the area
and protection of assets to improve the level of service Monthly bank reconcilliation statements Examines all keys control and issuance procedures are correctly applied and adhered to. Recommends to the area
Management: Maintain cost accounts for Funds Management services. Undertake monthly and daily cost allocations Reconcile balance sheets monthly, investigating and correcting anomalies. Monthly Reporting: Prepare comprehensive discrepancies and providing recommendations for corrective action. Assist in reconciling Annual and Bi-annual
Management: Maintain cost accounts for Funds Management services. Undertake monthly and daily cost allocations Reconcile balance sheets monthly, investigating and correcting anomalies. Monthly Reporting: Prepare comprehensive discrepancies and providing recommendations for corrective action. Assist in reconciling Annual and Bi-annual
credit balance testing using agreed methods. Apply correct balances and adhere to legal requirements for increases on a monthly basis. Ensure subordinates apply correct discount rates. Oversee the discount variation register accurately. Ensure staff follows the correct process for filing new applications. Validate credit
credit balance testing using agreed methods. Apply correct balances and adhere to legal requirements for increases on a monthly basis. Ensure subordinates apply correct discount rates. Oversee the discount variation register accurately. Ensure staff follows the correct process for filing new applications. Validate credit
compliance and a proven track record in the financial services sector, we want to hear from you. Responsibilities: regulations, and directives affecting the financial services and investment industry. Assess their impact on with auditors to address findings and implement corrective actions. Team Leadership: Provide strong leadership years of compliance experience in the financial services sector FAIS, FICA, POPIA, PFA, LTI, and CISCA