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
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
reconciled monthly, anomalies investigated, and corrected. Data from reconciliations and cost allocations investigated, and recommendations provided for corrective action. Assistance is provided to Operations
reconciled monthly, anomalies investigated, and corrected. Data from reconciliations and cost allocations investigated, and recommendations provided for corrective action. Assistance is provided to Operations
Maintain accurate cost accounts for Funds Management services. Conduct monthly and daily cost allocations, ensuring legislation changes and provide recommendations for corrective actions. Ad-hoc Responsibilities: Perform additional
finalizing audits. VAT Reconciliation and Financial Services Provider (FSP) Calculations: Submit monthly VAT financial documents. Compliance Assurance: Follow correct accounting policies and procedures consistently
Maintain accurate cost accounts for Funds Management services. Conduct monthly and daily cost allocations, ensuring legislation changes and provide recommendations for corrective actions. Ad-hoc Responsibilities: Perform additional
Journal Controller . Make sure money tasks are correct and join in on important projects at work. Make all journals. Address queries allocated in Fresh service. Address ad hoc queries from Brands. Provide information
Journal Controller . Make sure money tasks are correct and join in on important projects at work. Make all journals. Address queries allocated in Fresh service. Address ad hoc queries from Brands. Provide information