knowledge of legislation in the insurance and investment space Package negotiable on candidate's experience
knowledge of legislation in the insurance and investment space Package negotiable on candidate's experience
Proffer recommendations on cash management, investment choice, and insurance coverage. Carry out assessments advisors such as attorneys, accountants, and investment bankers to fully understand client's financial objectives. Recommend or help clients select suitable investments. Conduct negotiations with product suppliers planning topics such as retirement planning and investment. Requirements: Grade 12 minimum, tertiary qualification
Proffer recommendations on cash management, investment choice, and insurance coverage. Carry out assessments advisors such as attorneys, accountants, and investment bankers to fully understand client's financial objectives. Recommend or help clients select suitable investments. Conduct negotiations with product suppliers planning topics such as retirement planning and investment. Requirements: Grade 12 minimum, tertiary qualification
developmental outcomes MAIN RESPONSIBILITIES: Originating investment opportunities based on strategic fit, developmental participation and presentation of the corporation at investment conferences and roundtable discussions. Provides deal-making and specialist teams as well as Post-Investment teams to ensure alignment in client service. order to identify and source viable projects/investments. Deal making experience in the automotive, transport
order to identify and source viable projects/investments.
and delivered on time. The company is a Linked Investment Service Provider (LISP) and the role requires
and delivered on time. The company is a Linked Investment Service Provider (LISP) and the role requires
organizational goals. 2.Investment Management : Managing the organization's investment and ensuring alignment
COMPLIANCE GUIDANCE OFFICER: Umbrella Funds, Investment and CATIII experience with extensive experience Insurance Act as it relates to the underwritten investments policies). At least 3 years compliance-related