financial advisory services to both private and public entities. The successful candidate will play a experience in project finance transactions and public-private partnerships who thrives in a collaborative financial advisory services to various private and public entities on diverse projects Manage a multi-disciplinary
financial advisory services to both private and public entities. The successful candidate will play a experience in project finance transactions and public-private partnerships who thrives in a collaborative financial advisory services to various private and public entities on diverse projects Manage a multi-disciplinary
10 years post articles or more experience in a public listed company and successful track record of working
insurance and policy specific enquiries; Dealing with issuance of new policies/ policy maintenance/ renewal renewal / agri aspects of policies; Assisting to resolve all insurance queries within required timeframe follow-ups when policies are cancelled to ascertain the reasons and attempt to retain the policy onto books;
insurance and policy specific enquiries; Dealing with issuance of new policies/ policy maintenance/ renewal renewal / agri aspects of policies; Assisting to resolve all insurance queries within required timeframe follow-ups when policies are cancelled to ascertain the reasons and attempt to retain the policy onto books;
environment is maintained and compliance to OMF finance policies is always adhered to. OMF and OMTS Taxation (including Income Tax, VAT and securities Tax), including policy alignment with Old Mutual Group, tax calculations control environment including ownership of Finance policies and related controls. Ensure all financial accounting and records are executed in accordance with OMF policies, financial governance principles and legislative all areas of OMF and OMTS Taxation including tax policies, Tax Risk Management and tax processes and the
debtors management policy
Aged debtors reporting
Payment arrangements within policy
Straight
the Client services, relationship management and policy holder maintenance teams to ensure that all additions communication must be distributed and the policy holder's policy should be lapsed Process premium refunds Process re-instatement for payments received Process Policy reconciliation requests Reconcile payments received Authorisation of banking detail amendments for policy holders / payers Collate and analyze account data
the Client services, relationship management and policy holder maintenance teams to ensure that all additions communication must be distributed and the policy holder's policy should be lapsed Process premium refunds Process re-instatement for payments received Process Policy reconciliation requests Reconcile payments received Authorisation of banking detail amendments for policy holders / payers Collate and analyze account data
accounting policies in compliance with FRS 102 Support dissemination and implementation of policies Maintain financial control policies Develop a training programme for technical accounting policies and delivery of