retailer has numerous Store Admin and Finance Department Manager roles available in and around Gauteng specialised financial management and administration service by partnering and influencing store management
JOB PURPOSE:
The Shared Services Assistant is responsible assisting the Cashbook queries within agreed department / business unit SLAs
The Shared Services Assistant is responsible in assisting the Accounts receivables processing
going review of control functions within the department
years of CRM relationship management in financial services)
collections
r />The candidate will be managing the shared services collections division of the group and responsibilities team
in analytical . financial role in the financial services industry
Manager/Team Leader to manage a growing financial services team based in Pretoria. Our reputable client in Business Science degree At least 7 years (Financial Services - Life Insurance industry) experience Experience Experience in management of a financial services team. Proven leadership and team management experience. An
provide financial, administrative, and clerical services in the property sector. Accounts receivable duties generate response for payments Responsible for the correctness of the tenant and building information. Draw Manager to execute lockups Hand over to legal department if no response is received in discussion with with senior management Summons by the legal department Obtain ITC/TPN Reports Prepare required reports for debtors Reconcile accounts for correctness Audit accounts for correctness Prepare reconciliations for tenants
provide financial, administrative, and clerical services in the property sector. Accounts receivable duties generate response for payments Responsible for the correctness of the tenant and building information. Draw Manager to execute lockups Hand over to legal department if no response is received in discussion with with senior management Summons by the legal department Obtain ITC/TPN Reports Prepare required reports for debtors Reconcile accounts for correctness Audit accounts for correctness Prepare reconciliations for tenants