Position: Finance and Risk Manager
Location: Johannesburg
risk management practices.
Role O
experienced Finance and Risk Manager to oversee and enhance our financial performance and risk management
ideal candidate will have a strong background in finance within the manufacturing industry, with a keen
keen understanding of financial regulations and risk mitigation techniques.
Key Respo
To assist with AFS preparation and audit process.
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KNOWLEDGE AND EXPERIENCE
• A minimum of 3 years’ experience in AFS preparation and Audit liaison.
• Proficient in Microsoft Excel and Word
QUALIFICATION
C
Join Our Team as a Risk Management and Compliance Specialist About Us: We are a dynamic e-commerce and motivated Risk Management and Compliance Specialist to join our team Role Overview: As a Risk Management Management and Compliance Specialist, you will play a pivotal role in our efforts to ensure robust anti-money customers to verify identities and assess potential risks. Due Diligence Reporting: Compile detailed enhanced Stay current with money laundering and terrorist financing behaviours, policies, regulations, criminal typologies
Responsibilities:
As a Market Risk Specialist, specialising in counter-party credit and derivative
will play a pivotal role in our organisation's risk management strategy.
Your responsibilities
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Prepare detailed systems requirements specifications Facilitate joint application design sessions Prepare systems design prototypes where necessary Perform extensive functional systems tests Develop and keep up-to-date system Co-ordinate and Project Manage system(s) upgrades, maintenance and enhance
financial expert with a deep understanding of market risks, particularly in the areas of counter-party credit for you Key Responsibilities: As a Market Risk Specialist specialising in counter-party credit and derivative organisation's risk management strategy. Your responsibilities will include: Counter-party Credit Risk Analysis: Assessing and managing the counter-party credit risk exposure of our organisation, including evaluating creditworthiness of counter-parties and mitigating potential risks. Derivative Pricing: Utilising your expertise to
Purpose: Finance & Risk Manager that will analyse every day finance activities ana subsequently provide company's objectives Key Job Outputs: Provide finance reports and interpret financial information while Develop trends and projections for the company's finances Conduct reviews and evaluations for cost-reduction cost-reduction opportunities Oversee operations of the finance department, sets goals and objectives, and design statutory requirements relating to financial control, finance management, accounting and Tax Draw up financial
financial expert with a deep understanding of market risks, particularly in the areas of counter-party credit for you Key Responsibilities: As a Market Risk Specialist, specialising in counter-party credit and derivative organisation's risk management strategy. Your responsibilities will include: Counter-party Credit Risk Analysis: Assessing and managing the counter-party credit risk exposure of our organisation, including evaluating creditworthiness of counter-parties and mitigating potential risks. Derivative Pricing: Utilising your expertise to
with strong finance administration exposure. Matric Degree/ Diploma in Business or Finance-related 4 years years experience in general finance or Financial administration Liaison with shipping controllers in Banking Reconciliations Debtors/Creditors General Finance
Financial Reporting and governance of aspects of South African and Mozambican Subsidiaries (total 3 subsidiaries) This includes: Oversight of preparation of monthly management accounts of subsidiaries Oversight of preparation of Quarterly returns for Stats SA Interaction with auditors Preparation of