the Wealth industry is seeking a Compliance Administrator to mitigate risk for the company by ensuring
One of our JSE listed clients seek a Treasury Administrator to join their team. This role will work closely advantage of the business Daily transactions administration Daily and monthly market data distribution
One of our JSE listed clients seek a Treasury Administrator to join their team. This role will work closely advantage of the business Daily transactions administration Daily and monthly market data distribution
will be responsible for implementing inventory control measures to ensure accurate stock information. systems to control stock accuracy Prepare and maintain accurate procedures for all inventory control processes processes and functions Manage control measures to remove mistakes, inaccuracies, and discrepancies Perform MS Excel A Detailed understanding of inventory control systems (BARCO is advantageous) Please note if
respected and talented alternative investments administration team as a Hedge Fund Accountant. Ideal candidate private equity, hedge funds etc. End-to-end administration and accounting calculation of net asset values Minimum of 2 years fund accounting or hedge fund administration experience Must have strong MSExcel skills
respected and talented alternative investments administration team as a Hedge Fund Accountant. Ideal candidate private equity, hedge funds etc. End-to-end administration and accounting calculation of net asset values Minimum of 2 years fund accounting or hedge fund administration experience Must have strong MSExcel skills
recommend procedures, and ensure sufficient financial controls are in place - Liaise with and assist in the annual practices, and ensure adherence to ERP system controls - Assist with business decisions to ensure profitable advantage - Sound knowledge of Financial and Controlling principles - Working knowledge of IFRS accounting
review of financial reports and key controls within the control environment Preparation of tax returns
and reconcile cashbooks, store controls and other associated control accounts Submitting monthly turnover
and reconcile cashbooks, store controls and other associated control accounts Submitting monthly turnover