TWR and other NEF's units (Legal Services, Post Investment and Finance). Track and monitor loan restructurings Portfolio analysis. Experience/ Skills Finance and/or investment environment experience B Com or equivalent Reporting
will play a crucial role in providing investment support to Investment Associates by analyzing deals, conducting Writing: Evaluate new deals from Pre-Investment for potential investment and prepare early review reports assessments and provide recommendations and comments to Investment Associates Analyze, compile, and report on market appropriate finance and legal structures for each investment deal, ensuring long-term sustainability and viability
Proffer recommendations on cash management, investment choice, and insurance coverage. Carry out assessments advisors such as attorneys, accountants, and investment bankers to fully understand client's financial objectives. Recommend or help clients select suitable investments. Conduct negotiations with product suppliers planning topics such as retirement planning and investment. Minimum Requirements : Grade 12 minimum, tertiary
Proffer recommendations on cash management, investment choice, and insurance coverage. Carry out assessments advisors such as attorneys, accountants, and investment bankers to fully understand client's financial objectives. Recommend or help clients select suitable investments. Conduct negotiations with product suppliers planning topics such as retirement planning and investment. Minimum Requirements : Grade 12 minimum, tertiary
budgeting and forecasts. Risk management and internal control measures: Providing the necessary guidance of a robust framework for risk management and internal control measures. Treasury and capital markets goals in order to ensure optimal support for the internal functions and operations, as well as the supply and annual budget. The ability to implement internal systems and controls to ensure good financial
and annual budgets. The ability to implement internal systems and controls to ensure good financial budgeting, and forecasts. Risk Management and Internal Control Measures: Providing the necessary guidance of a robust framework for risk management and internal control measures. Treasury and Capital Markets: strategic goals to ensure optimal support for the internal functions and operations, as well as the supply budgeting, and forecasts. Risk Management and Internal Control Measures: Providing the necessary guidance
Accounting 3, Taxation 1, Auditing 1 / Internal Auditing 2 / Internal Control and Code of Ethics, Corporate
Accounting 3, Taxation 1, Auditing 1 / Internal Auditing 2 / Internal Control and Code of Ethics, Corporate
and annual budgets. The ability to implement internal systems and controls to ensure good financial budgeting, and forecasts. Risk Management and Internal Control Measures: Providing the necessary guidance of a robust framework for risk management and internal control measures. Treasury and Capital Markets: strategic goals to ensure optimal support for the internal functions and operations, as well as the supply
for ensuring prompt payment of domestic and international bills. (Experience in handling foreign payments date, filed, and stored appropriately for both internal and external auditing needs and yearly BBBEE Verification