out in accordance with the safety, security and quality standards;
to inform risk management decisions. Provide assurance on the Fund’s level of risk compliance •Incorporate of a combined assurance model •Establish partnerships with internal and external assurance providers in to provide a coordinated approach to all the assurance activities of the Fund •Liaise with external and the Fund’s risk management policy and combined assurance practices and procedures REQUIRED EXPERIENCE AND
suppliers monthly Allocation of costs to GL and cost centres Monthly reports and commentary on all assigned
submission, quarterly finance board report (IFRS) Cost centre cost allocations Balance sheet recons Cashflow
Ensure costs are allocated to the correct cost-centres monthly. Ensure the preparation/review of monthly
follow instructions