provident funds, representing the retirement fund savings of more than 350 000 members Manage fund accounting certification preferred Minimum 5 years experience in fund accounting Proficiency in accounting software Strong
experienced COMPLIANCE GUIDANCE OFFICER: Umbrella Funds, Investment and CATIII experience with extensive
based in Gauteng North, specializing in retirement fund administration, is seeking a seasoned Financial client contribution schedules, ensuring accurate fund movements, processing benefit claims, and handling in Finance or Accounting, expertise in retirement fund administration, and proficiency in MS Excel, Word Pastel. Key duties involve updating retirement funds, preparing financial statements, and overseeing schedule and allocate client funds. Ensure correct movement of investment funds. Pay benefit claims and group
Investment Schemes / Retirement Funds / Linked Life Companies / Exchange Traded Funds (ETFs)
25 000 - Monthly plus including pension fund and provident fund
25 000 - Monthly plus including pension fund and provident fund
seeking an Assistant Finance Manager to join their Fund finance team. The role is toprovide support for compliant reporting. Assist with the preparation of Fund financial statements and commentary to relevant with regulations. Review of monthly and quarterly fund statements. Deliver on ad hoc requests from group
seeking an Assistant Finance Manager to join their Fund finance team. The role is toprovide support for compliant reporting. Assist with the preparation of Fund financial statements and commentary to relevant with regulations. Review of monthly and quarterly fund statements. Deliver on ad hoc requests from group
pre-approving them, before handing them over to our senior funding specialists who facilitate the remainder of the they typically face, what they typically take funding for, and why Understanding Merchant Capital's product customise our solutions, and how we can fill gaps in funding requirements Researching each lead provided, adding research, knowledge, and rapport, to uncover client funding requirements and match Merchant Capital to that interested in the product Collaborate with Senior funding specialists on weekly rotation to gain knowledge
pre-approving them, before handing them over to our senior funding specialists who facilitate the remainder of the they typically face, what they typically take funding for, and why Understanding Merchant Capital's product customise our solutions, and how we can fill gaps in funding requirements Researching each lead provided, adding research, knowledge, and rapport, to uncover client funding requirements and match Merchant Capital to that interested in the product Collaborate with Senior funding specialists on weekly rotation to gain knowledge