Follow auditing standards and procedures efficiently Assist in the preparation of financial statements Conduct Prepare reports and documentation for audit findings Assist with tax compliance and filing Maintain accurate accurate and up-to-date financial records Utilize MS Office software for data analysis and reporting Demonstrate
related activities, ensuring compliance to Head Office Treasury guidelines, ALCO, Credit and Executive requirements based on a funding report provided by Back Office and made available to the money market dealers and captured immediately and submitted to Back Office for processing of payments. Understand, Coordinate funding requirements of the Branch. To achieve Head Office KPI of increasing Client Deposit Proportion and
related activities, ensuring compliance to Head Office Treasury guidelines, ALCO, Credit and Executive requirements based on a funding report provided by Back Office and made available to the money market dealers and captured immediately and submitted to Back Office for processing of payments. Understand, Coordinate funding requirements of the Branch. To achieve Head Office KPI of increasing Client Deposit Proportion and
willing to learn from Senior Tax Consultants and assist them with day to day admin. Experience in the following