seeking a dynamic and experienced Group Finance Manager with outstanding people skills to join an industry hear from you Key Responsibilities: Oversee and manage the financial operations of the group. Develop present comprehensive financial reports to senior management. Conduct financial analysis and provide insights insights to support decision-making. Coordinate and manage budgeting, forecasting, and auditing processes senior finance role. Strong leadership and people management skills. If you are interested in this opportunity
models used in financial forecasting and risk management. Performing quantitative analysis to ensure accuracy validation reports and presenting findings to senior management. Requirements: Advanced degree (Master's or PhD) Solid understanding of financial products and markets. Proficiency in programming languages such as Python
models used in financial forecasting and risk management. Performing quantitative analysis to ensure accuracy validation reports and presenting findings to senior management. Requirements: Advanced degree (Master's or PhD) Solid understanding of financial products and markets. Proficiency in programming languages such as Python
Actuary, you will direct the development and management of competitive risk cover products, overseeing customer experience to ensure profitability and market relevance. Duties and Responsibilities Data Analysis: culture of collaboration and continuous learning, manage team performance, and facilitate employee growth techniques. Experience: 3-5 years in a product owner/manager role. Additional Skills: Familiarity with RiskAgility/Prophet
Actuary, you will direct the development and management of competitive risk cover products, overseeing customer experience to ensure profitability and market relevance. Duties and Responsibilities Data Analysis: culture of collaboration and continuous learning, manage team performance, and facilitate employee growth techniques. Experience: 3-5 years in a product owner/manager role. Additional Skills: Familiarity with RiskAgility/Prophet
background in accounting and treasury management, with a proven ability to manage cash flows, investments, and Key Responsibilities: Manage daily treasury functions including cash management, forecasting, and liquidity implement treasury policies and procedures. Monitor and manage financial risks associated with the company's operations
background in accounting and treasury management, with a proven ability to manage cash flows, investments, and Key Responsibilities: Manage daily treasury functions including cash management, forecasting, and liquidity implement treasury policies and procedures. Monitor and manage financial risks associated with the company's operations
and proactive Credit Controller to oversee and manage our company's credit accounts. The ideal candidate our clients. Key Responsibilities: Monitor and manage accounts receivable. Assess credit applications perform credit checks. Negotiate payment terms and manage credit limits. Proactively follow up on overdue
and proactive Credit Controller to oversee and manage our company's credit accounts. The ideal candidate our clients. Key Responsibilities: Monitor and manage accounts receivable. Assess credit applications perform credit checks. Negotiate payment terms and manage credit limits. Proactively follow up on overdue
and proactive Credit Controller to oversee and manage our company's credit accounts. The ideal candidate our clients. Key Responsibilities: Monitor and manage accounts receivable. Assess credit applications perform credit checks. Negotiate payment terms and manage credit limits. Proactively follow up on overdue