include Life, Invest, Insure, Health, Vitality and Banking all under the Clients umbrella and broker code
selling Short Term Insurance, Life products and/or Banking Products Ensure FAIS and FICA standards are adhered
selling Short Term Insurance, Life products and/or Banking Products Ensure FAIS and FICA standards are adhered
(Sanction Screening, ID/Registration No. Verification, Bank Verification, Risk Rating). Ensuring a full understanding
reviewing group cash flow, and managing group banking Annual tasks involve preparing the group annual
(Sanction Screening, ID/Registration No. Verification, Bank Verification, Risk Rating). Ensuring a full understanding
reviewing customer and supplier contracts Dealing with banks in terms of standard terms and conditions, contracts
if required. Responsible for cash flow forecasts, bank reconciliations and performs treasury operations
solutions in alignment to the overall strategy of the Bank whilst growing the technical expertise within the
if required. Responsible for cash flow forecasts, bank reconciliations and performs treasury operations