Responsibilities
Regularly follow-up on outstanding queries with other entities who are involved with specific requests. Adhere his / her capability. Escalate to other support-entities (colleagues, 2nd and 3rd tier support, other service request-resolution to ensure resolutions (own or other entity) are achieved within contractual service-level different solutions and/or escalate to other support-entities to ensure that further repeats are minimised or
pivotal in managing the accounting for holding entities that interact with all subsidiaries across the responsible for the full financial function of 6 holding entities, ensuring accurate record keeping and financial 6 holding entities Prepare for and handle queries during external audit of these entities Handle Accounts
Services
queries – Related to allocation between group entities Intercompany reconciliations Matric BCom finance
offshore/onshore financial statements Maintaining entity ledgers on a regular basis ensuring they are up-to-date the Investment Accounting team to ensure that all entity ledgers are up to date by reconciling investment
These instructions include CDD and RR for legal entities and individuals. The potential candidate must instructions include the CDD and RR of all legal entities and individuals To be flexible in the working
These instructions include CDD and RR for legal entities and individuals. The potential candidate must instructions include the CDD and RR of all legal entities and individuals To be flexible in the working
& WCF Services SQL Server Reporting Services Entity Framework MS SQL Server Git source control with
/>