creating development plans for under performing staff. Assist with recruitment, selection, and appointments of Payroll and HR receive necessary staff forms on time. Train and develop staff, delegate work effectively, and payments. Assist with any tasks assigned by the manager and report any irregularities. Assist colleagues
creating development plans for under performing staff. Assist with recruitment, selection, and appointments of Payroll and HR receive necessary staff forms on time. Train and develop staff, delegate work effectively, and payments. Assist with any tasks assigned by the manager and report any irregularities. Assist colleagues
performance, identifying training or development needs. Monitor tools of trade and assist with resolving issues
year and identify training or development needs. Oversee tools of the trade and assist with call logging
year and identify training or development needs. Oversee tools of the trade and assist with call logging
framework. Design and deliver internal controls training and awareness campaigns. Perform gap assessments report control testing results to senior management. Assist in designing robust remediation plans in response
performance, identifying training or development needs. Monitor tools of trade and assist with resolving issues
with brokers to ensure a seamless trading process Assist clients with IFRS 2 and incentive related queries clients or internal requirements Create and provide training to clients in using the platform Provide ongoing
with brokers to ensure a seamless trading process Assist clients with IFRS 2 and incentive related queries clients or internal requirements Create and provide training to clients in using the platform Provide ongoing
This role is responsible for assisting with month end recons and assisting the team where needed including audit and annual financial statements. Duties: Assist the finance team with monthly recons and catch VAT recons. Assist with checking GL accounts for accuracy and correct allocations. Assist with checking Financial Statements. Assist with outstanding audit queries, where needed. Assist with cashbook recons