advise them on products, including forthcoming developments and special promotions. Responsible for building sales pipeline in accordance with targets set. Develop a thorough understanding of client objectives and accuracy. Develop and maintain relationships with clients through regular review meetings. Develop a complete
advise them on products, including forthcoming developments and special promotions. Responsible for building sales pipeline in accordance with targets set. Develop a thorough understanding of client objectives and accuracy. Develop and maintain relationships with clients through regular review meetings. Develop a complete
responsibilities:
responsibilities:
where performance is not at the required level and develop a framework to ensure personal visits occur and
Investment Associate: Rural, Township and Community Development Fund (permanent).
The
literacy and competency in Excel spreadsheet, MS Word and MS PowerPoint
/>The Head of Business Development will drive the companys business development strategies, foster key
/>Skills & Experience:
Develop demand creation strategies and new product service
improve revenue and meet market demands.
Develop business agreements with clients.
Financial
offerings and production.
Establish business development strategies to ensure overall organisational strategy
strategy is followed.
Guide business development research reports on potential revenue streams and
EXPERIENCE IN FULL PAYROLL ADMINISTRATION AND SKILLS DEVELOPMENT REPORTING NON NEGOTIABLE. Monthly Salaries Payroll Training Report To act as the company Skills Development Facilitator Arrange and book for employee trainings and EFTS for payment PAYE, UIF Levy, Skills Development Levy Garnishees Liberty and MIBFA Provident fund
prosperity of their team members. As a Business Development Consultant, you will embark on a journey with Representatives (RE5) 12 CPD (continuous professional development) points Call center agents not preferred unless
system to ensure accurate and timely delivery of the NAV
Prepare and perform weekly/daily cash and stock
resolution of any reconciling differences and no NAV errors occur
Monitor daily/monthly asset pricing
calculation
Prepare and produce an accurate NAV to ensure Reviewers discover no errors in the work
reviewed resulting in the timely delivery of the NAVs
Proactively investigate queries with dealers;