Responsible for assisting with financial tasks within the accounting department. Involves handling financial documents in an accurate timely manner Reconciliations: Assist with bank reconciliations and ensure descrepancies policies Assistance: Assist with ad-hoc financial projecst and tasks as assigned Assurance: Assist with internal
and responsibilities
contract deliverables for loading
department/team's goals by respecting, trusting and assisting each other. Working together as a team to improve delivering Service Desk outputs. Incident Management Assisting with Incident and Problem management by identifying to the x64 / regional desktop support team for assistance. Identifying and reflecting in Services Now all as well as problem re-occurrences, in order to assist with Incident management. Utilising various resources incidents using their specialist in-depth knowledge. Assist in determining/identifying the root cause of an
Perform proactive vulnerability assessments and assist with managed Security Operations Centre tasks. Maintains awareness of the implication of legislation. Assists with information classification and information
departments and subsidiaries for foreign creditors Assist with reconciling the foreign Creditors Payments payments list to be maintained with bookkeeper Assist with foreign Creditors auditors requests for information
will require working closely with stakeholders to assist in evaluating the performance of various products reporting Providing input into commercial meetings to assist in decision making processes Matric and thee year
risk awareness plan, as agreed by Management. •Assist in reviewing risk strategies, ensuring alignment compliance awareness into the businesses culture. •Assist with the design and implementation of a formal investigations into suspicious activities •Provide assistance to investigative authorities in connection with governance structures on status of BCM for the Fund Assist with the implementation of a combined assurance
the Auths needed for each users function
apply the Auths needed for each users function Assist with Training on the users - Implement change process table as per product shelf life and requirements Assist with physical stock prep and stock take on before go live On site support and set up of pick face Assist with onsite support after implementation and online comfortable. Daily controls – Review daily and assist users in closing cycles Inventory Reporting and