reporting and cost control measures are implemented. Asset location and identification management: •Is responsible SAIPA asset. •Ensuring that such assets are in existence at all times. •Ensuring that all assets are correctly correctly recorded in the Fixed Assets register. •Conducting physical asset verification exercises from time 100% satisfied with asset existence and location at SAIPA. Maintaining the Fixed Assets register: •Ensuring Fixed Asset register is kept up to date at all times and is a true record of the Fixed Assets belonging
reporting and cost control measures are implemented. Asset location and identification management: •Is responsible SAIPA asset. •Ensuring that such assets are in existence at all times. •Ensuring that all assets are correctly correctly recorded in the Fixed Assets register. •Conducting physical asset verification exercises from time 100% satisfied with asset existence and location at SAIPA. Maintaining the Fixed Assets register: •Ensuring Fixed Asset register is kept up to date at all times and is a true record of the Fixed Assets belonging
a prominent player in the wealth management and asset management industry, dedicated to delivering exceptional
within a wealth management firm, brokerage, or asset management company. CFA levels preferred.
asset management company.
Fixed Assets Management:
support tax planning. Fixed Assets Management: Manage the accounting for fixed assets, including capitalization Ensure accurate and up-to-date records of fixed asset transactions. Review the accuracy of wear and tear
support tax planning. Fixed Assets Management: Manage the accounting for fixed assets, including capitalization Ensure accurate and up-to-date records of fixed asset transactions. Review the accuracy of wear and tear
and controls at divisions; management control of asset register; processing and preparation of monthly
submissions
experience with financial management, business analysis, asset management and cost controlling
The
bank reconciliations Process and control fixed assets Perform inter-company transactions Calculate exchange Customer statements Debtors collections Maintain fixed assets register Filing of supporting documents Preparation/review