The role will support the financial manager and business with various financial projects for the group and experience. Responsibilities: Work closely with the Financial Manager and oversee the work of the junior team queries Liaise with financial advisors and building budgets intergrating with financial models Analyse basic and comment on accounting records and prepare financial statements Prepare tax returns Requirements: CA(SA) Highly detail oriented and organized in work Information gathering and problem analysis skills Please
end roll over procedures Assist in providing information and reports to Head Office Assist in preparation audit processes Assist with problem solving any financial ad hoc tasks as required Requirements: BCom Accounting
cross-functional processes. Develop and implement financial models to support strategic initiatives, identify Responsibilities: Manage and maintain all store POS back-end system Monitor performance indicators, highlighting trends weekly, monthly, quarterly and annual reporting system Implement and manage all BI tools such as Qlik
Compliance remediation process Collection of borrower information to meet prescribed internal KYC/AML policies Minimum of 3 years' experience in KYC analysis in financial or legal institutions Knowledge of KYC and AML
Compliance remediation process Collection of borrower information to meet prescribed internal KYC/AML policies Minimum of 3 years' experience in KYC analysis in financial or legal institutions Knowledge of KYC and AML
certification 3 - 5 years compliance experience in the financial services industry Knowledge of FICA, FAIS and experience Relevant experience working with Financial Advisers / Financial Planners Computer literate in MS Office
certification 3 - 5 years compliance experience in the financial services industry Knowledge of FICA, FAIS and experience Relevant experience working with Financial Advisers / Financial Planners Computer literate in MS Office
with 2 years post articles experience within the Financial Services sector. Responsibilities Contribute to of 2 years post articles experience within the financial services industry (preferably in fund management)
experience with high volume transactions is essential Financial Qualification / Certificate / Diploma Please note
to Trial Balance and Balance Sheet Invoicing, financial statements, bank recons Managing VAT, EMP501,